FTSE Mondo Visione Exchanges Index:
News Centre
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SGX Derivatives And Commodities Grow In June
Date 03/07/2014
Singapore Exchange (SGX) reported today that its derivatives and commodities volume continued to increase in June, with record volumes for SGX rubber futures and iron ore offerings.
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ASX Compliance Monthly Activity Report – June 2014
Date 03/07/2014
New listings for the month were Asaleo Care Limited (AHY), Blue Sky Alternative Access Fund Limited (BAF), Gentrack Group Limited (GTK), Isentia Group Limited (ISD), Managed Accounts Holdings Limited (MGP), Mantra Group Limited (MTR), Medallion Trust Series 2014-1P (MPZ), Monash IVF Group Limited (MVF), RTG Mining Inc (RTG), The PAS Group Limited (PGR), Westfield Corporation Limited (WFD) and WFD Trust (WFD).
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New Zealand's Financial Markets Authority: Consequences For Failing To Comply With Financial Statement Filing Obligations
Date 03/07/2014
The Financial Markets Authority (FMA) has filed charges against the directors of eight companies that raise funds from the public, for breaches of the Financial Reporting Act (FRA).
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Hong Kong's Securities And Futures Commission Suspends Wu Li Jun For Six Months
Date 03/07/2014
The Securities and Futures Commission (SFC) has suspended Ms Wu Li Jun, a former employee of China Merchants Securities (HK) Co., Limited (China Merchants Securities), for six months from 3 July 2014 to 2 January 2015.
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Leno Corporate Services Becomes A BISX Broker Dealer
Date 03/07/2014
The Bahamas International Securities Exchange (BISX) is pleased to announce that Leno Corporate Services Limited (LENO) has become a BISX Broker-Dealer Member.
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US Federal Agencies Release Public Sections Of Resolution Plans
Date 02/07/2014
The Federal Reserve Board and the Federal Deposit Insurance Corporation (FDIC) on Wednesday released the public portions of annual resolution plans for 17 financial firms. Each plan must describe the company's strategy for rapid and orderly resolution under the U.S. Bankruptcy Code in the event of material financial distress or failure of the company.
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SEC Charges Five Traders With Short Selling Violations
Date 02/07/2014
The Securities and Exchange Commission today charged five traders for committing short selling violations while trading for themselves and Worldwide Capital Inc., a Long Island, N.Y.-based proprietary firm that earlier this year paid the largest-ever monetary sanction for Rule 105 violations.
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FINRA Bars Broker For Insider Trading In Japanese Securities
Date 02/07/2014
The Financial Industry Regulatory Authority (FINRA) announced today that it has barred Kenneth Ronald Allen, a former equity trader at First New York Securities L.L.C., from the securities industry for trading Japanese securities on the basis of material, non-publicized information that he received from a corporate insider.
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James McNamara Named As SEC Deputy Chief Human Capital Officer In The Office Of Human Resources
Date 02/07/2014
The Securities and Exchange Commission today announced that James McNamara has been selected as the deputy chief human capital officer in its Office of Human Resources.
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exactEarth And Genscape Announce Strategic Alliance
Date 02/07/2014
exactEarth Ltd., a leading provider of global maritime vessel data, is pleased to announce a new, expanded strategic alliance with Genscape Inc., the leading real-time energy information supplier to commercial markets. exactEarth and Genscape, having extremely complementary backgrounds and capabilities, are now looking to apply their respective technologies, resources, and experiences to jointly explore the development and distribution of AIS-based data products and services to customers around the globe.
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