FTSE Mondo Visione Exchanges Index:
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MIAX Regulatory: New Equity Rights Program For 2015
Date 16/12/2014
The Exchange filed for immediate effectiveness to implement an equity rights program pursuant to which units representing the right to acquire equity in the Exchange’s parent holding company, Miami International Holdings (“MIH”) would be issued to a participating Member in exchange for payment of an initial purchase price or the prepayment of certain transaction fees and the achievement of certain volume thresholds on the Exchange over a 23 month period.
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Federal Court Orders Missouri Resident Daniel K. Steele And His Missouri Company, Champion Management International, LLC, To Pay over $2.5 Million In Monetary Sanctions - Order Also Requires Relief Defendant Judy D. Steele To Disgorge Ill-Gotten Gains
Date 16/12/2014
The U.S. Commodity Futures Trading Commission (CFTC) today announced that the Honorable Ronnie L. White of the U.S. District Court for the Eastern District of Missouri entered a Consent Order for permanent injunction against Defendants Daniel K. Steele and Champion Management International, LLC, (Champion Management), a Missouri limited liability company. The Court’s Order requires Defendants jointly to pay $1,544,722.81 in restitution to defrauded investors, imposes a $1 million civil monetary penalty, and requires Relief Defendant Judy D. Steele to disgorge ill-gotten gains totaling $187,083.58. The Order also imposes a permanent trading and registration ban on the Defendants and prohibits them from further violations of the anti-fraud provisions of the Commodity Exchange Act (CEA), as charged.
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SEC Announces Charges Against Owner Of Equity Research Firm Accused Of Manipulative Trading
Date 16/12/2014
The Securities and Exchange Commission today announced charges against a Phoenix-based equity research firm owner who allegedly manipulated the market for a publicly traded stock he was soliciting investors to purchase.
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Moscow Exchange: Changes In The Minimum Initial Margin In The Derivatives Market
Date 16/12/2014
Minimum initial margin in the Derivatives market for USD/RUB, EUR/RUB Exchange rate, RTS index, MICEX index Russian Federation government bonds futures is increasing:
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FINRA Fines Merrill Lynch $1.9 Million And Orders Restitution Of $540,000 For Fair Pricing And Supervisory Violations Related To Purchases Of Distressed Securities
Date 16/12/2014
The Financial Industry Regulatory Authority (FINRA) announced today that it has fined Merrill Lynch, Pierce, Fenner & Smith Incorporated $1.9 million for fair pricing and supervisory violations in connection with more than 700 retail customer transactions in distressed securities over a two-year time period. Merrill Lynch was also ordered to pay more than $540,000 in restitution, plus interest, to affected customers.
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CBOE, C2 and CFE Trading Schedule For The Christmas And New Year’s Holidays
Date 16/12/2014
CBOE Holdings, Inc. (NASDAQ: CBOE) announced the following trading schedule for Chicago Board Options Exchange (CBOE), C2 Options Exchange (C2) and CBOE Futures Exchange (CFE) in observance of the Christmas and New Year’s holidays:
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Eze Software Group Redefines Front-Office Technology With Advanced Integration Between Its EMS And OMS - Combined Feature Set Brings Together Advanced Trading And Compliance Workflows
Date 16/12/2014
Eze Software Group, a premier provider of global investment technology, today announced that they have completed an advanced integration between their best-of-breed execution management system (EMS) and order management system (OMS), combining critical trading and compliance workflows across its front-to-back product suite. With this latest development, users can benefit from the advanced trading tools available in RealTick EMS while also taking advantage of important Eze OMS features such as fully integrated compliance, position checking, and automated allocations.
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CFTC Staff Issues Time-Limited No-Action Relief From Certain Recordkeeping Requirements Under Commission Regulation 1.35(A)
Date 16/12/2014
The U.S. Commodity Futures Trading Commission’s (CFTC or Commission) Division of Swap Dealer and Intermediary Oversight and Division of Market Oversight today issued a no-action letter providing relief from certain recordkeeping requirements under Commission Regulation 1.35(a).
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New Product On Solactive Index For Israeli Commercial Real Estate Market - Launch Of The IBI Israel Commercial Real Estate Tracking Fund
Date 16/12/2014
Solactive AG has licensed the Solactive - B-BRE Israel Commercial Real Estate Index which is used for the IBI Israel Commercial Real Estate Tracking Fund issued by IBI Investment House on the 10th December in Tel-Aviv (TASE).
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SunGard Wins FOW Best New Product Award For Cross-Asset Risk Solution
Date 16/12/2014
SunGard’s Front Arena cross-asset risk solution was awarded best new trading and execution product at the FOW International Awards last week in central London.
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