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  • JPMorgan Chase To Elect Linda Bammann And Michael Neal To Its Board Of Directors - Company Also Announces Enhancements To Its Corporate Governance Principles And Establishes The Role Of Lead Independent Director

    Date 09/09/2013

    JPMorgan Chase & Co. (NYSE: JPM) announced today that its Board of Directors intends to elect Linda B. Bammann and Michael A. Neal as directors of the company. Ms. Bammann is expected to be elected on September 16, while Mr. Neal is expected to join the Board in January 2014, after he retires from his current position.

  • CFTC Releases Rule Enforcement Review Of The Minneapolis Grain Exchange, Inc.

    Date 09/09/2013

    The Commodity Futures Trading Commission (Commission) has notified the Minneapolis Grain Exchange, Inc. (MGEX) of the results of a rule enforcement review completed by the Commission’s Division of Market Oversight (Division). The review covered the target period from June 1, 2011 to May 31, 2012. The Division assessed MGEX’s compliance with pre-Dodd-Frank Act Core Principles 10 and 17 and post-Dodd-Frank Act Core Principles 10 and 18 (audit trail program); pre- and post-Dodd-Frank Act Core Principles 2 and 12 (trade practice surveillance program); pre-Dodd-Frank Act Core Principle 2 and post-Dodd-Frank Act Core Principle 13 (disciplinary program); and pre-Dodd-Frank Act Core Principle 13 and post-Dodd-Frank Act Core Principle 14 (dispute resolution program).

  • NGX Launches US Physical Electricity Clearing Services

    Date 09/09/2013

    Natural Gas Exchange Inc. (NGX), a wholly-owned subsidiary of TMX Group, today announced that it has initiated its US physical power clearing services in the ERCOT (Texas) market.

  • CFTC Releases Rule Enforcement Review Of The CBOE Futures Exchange

    Date 09/09/2013

    The Commodity Futures Trading Commission (Commission) today notified CBOE Futures Exchange (CFE) of the results of a rule enforcement review completed by the Commission’s Division of Market Oversight (Division). The review covered the target periods from November 1, 2009 to November 1, 2010 (first target period) and November 1, 2010 to August 1, 2012 (second target period). The Division evaluated the Exchange’s compliance with Core Principles 10 (Trade Information) and 17 (Recordkeeping), which relate to an exchange’s audit trail program for the recording and safe storage of trade information in a manner which enables prevention of customer and market abuses and enforcement of exchange rules.

  • ISDA Publishes The 2013 ISDA Arbitration Guide

    Date 09/09/2013

    The International Swaps and Derivatives Association, Inc. (ISDA) today published the 2013 ISDA Arbitration Guide.