FTSE Mondo Visione Exchanges Index:
News Centre
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Dalian Commodity Exchange: Assistant Chairman Zhang Yujun: Futures Market Continuing To Keep Sound And Stable Development Momentum
Date 15/11/2012
On the 7th CIOC held on November 7, Zhang Yujun, a member of CSRC Party Committee and assistant chairman of CSRC, said that CSRC, by firmly following the fundamental purpose of letting finance serve real economy and always adhering to the principle of advancing steadily, has promoted various reforms and innovations of futures market. The total trading volume and value of the first ten months this year reached 1.15 billion contracts and CNY 134.73 trillion, up by 32.5% and 18.4% year-on-year respectively. Futures market continues to maintain sound and stable development momentum.
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OneChicago Holiday Notice – Thanksgiving Trading Hours
Date 14/11/2012
In observance of the Thanksgiving Holiday, OneChicago will follow the schedule below, which is consistent with U.S. equity markets.
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BM&FBOVESPA: Proclamation Of The Republic Day
Date 14/11/2012
Thursday (November 15) is national public holiday in Brazil and there will be no trading on BM&FBOVESPA.
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“The Trouble” Statement By CFTC Commissioner Bart Chilton Before The Bloomberg FX 12 Summit, New York, NY
Date 14/11/2012
Thanks for the opportunity to be with you. I'm pleased to be with Hal Scott, and in particular with William Cohan who has written so eloquently about these subjects. It is good to be here.
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CBOE, C2, CFE, and CBSX Trading Schedule For The Thanksgiving Holiday
Date 14/11/2012
CBOE Holdings, Inc. (NASDAQ: CBOE) announced the following trading schedule for Chicago Board Options Exchange (CBOE), CBOE Futures Exchange (CFE), C2 Options Exchange (C2) and CBOE Stock Exchange (CBSX) in observance of the Thanksgiving holiday:
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New Zealand's Financial Markets Authority: Release Of PwC Report Into Ross Asset Management
Date 14/11/2012
The investigation into the affairs of David Ross of Ross Asset Management Ltd and related entities has moved forward today with the release of the receivers' report.
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CFTC Issues Proposed Swaps Report For Public Comment - Proposed Report Seeks Public Input On Format, Structure, And Supporting Documentation
Date 14/11/2012
The Commodity Futures Trading Commission (CFTC) today issued, for public comment, a proposed CFTC Swaps Report that, when the proposal is finalized, will give the public a view into the previously dark swaps market.
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US Agencies Issue Supplemental Statement On Supervisory Practices Regarding Financial Institutions And Borrowers Affected By Hurricane Sandy
Date 14/11/2012
The Board of Governors of the Federal Reserve System, the Federal Deposit Insurance Corporation, the National Credit Union Administration, and the Office of the Comptroller of the Currency (the agencies) recognize the continuing impact of Hurricane Sandy on the customers and operations of many financial institutions and encourage institutions to consider all reasonable and prudent steps to assist customers in communities affected by recent storms. Therefore, the agencies are issuing supplemental guidance to their October 30, 2012, statements about financial institutions and borrowers affected by Hurricane Sandy. A complete list of the affected disaster areas can be found at www.fema.gov.
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“Regulatory Relativity” CFTC Commissioner Bart Chilton’s Keynote Address To The 7th Annual OTC Derivatives Operations & Processing Conference, New York, NY
Date 14/11/2012
Hello! It’s good to be with you today. Thank you for the kind invitation. Let’s do something unconventional, shall we? Let’s discuss financial regulatory reform with some scientific metaphors. Let’s talk regulatory relativity. Let’s talk Dodd-Frank—that is: the Dodd-Frank Wall Street Reform and Consumer Protection Act of 2010.
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Hong Kong's Securities And Futures Commission Disciplines And Fines CIC Investor Services $4 Million Over Handling Of Professional Investors And Documentation Of Advice
Date 14/11/2012
The Securities and Futures Commission (SFC) has reprimanded CIC Investor Services Limited (CIC) and fined it $4 million for its failures to comply with regulatory requirements in treating clients as professional investors and to keep adequate records of its investment advice to clients.
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