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Bulgarian Stock Exchange: Launch Of A Corporate Governance Index - CGIX
Date 28/07/2011
The National Corporate Governance Commission in Bulgaria has approved the methodology for calculating the index, which will include publicly traded companies strictly applying corporate governance principles.
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Seminar On Sukuk Was Held In Tehran
Date 28/07/2011
The Seminar on "Financing through Sukuk and Its Issuing Procedures" was held on July 25by Mellat Investment Bank and Technology Center of Sharif University in Tehran.
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Mohammed Bin Rashid Appoints New Governor For DIFC - Comments From HE Abdullah Mohammed Saleh
Date 28/07/2011
“First of all, I would like to express my thanks and gratitude to His Highness Sheikh Mohammed bin Rashid Al Maktoum, Vice President and Prime Minister of the UAE and Ruler of Dubai, for the trust he places in me by appointing me as Governor of DIFC. I am delighted to accept this appointment to lead the Centre’s strong management team under the guidance of His Highness Sheikh Maktoum bin Mohammed bin Rashid Al Maktoum, Deputy Ruler of Dubai and President of DIFC. Last year DIFC developed its new business strategy which it is successfully implementing. I look forward to working with DIFC, its management team and related entities to further develop the Centre as a global financial and business hub.
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Federal Court In Illinois Orders Jay C. Nolan And His Company, Lodge Capital Group, LLC, To Pay $825,000 Civil Monetary Penalty For Multi-Million Commodity Pool Fraud Scheme - Nolan Sentenced To 60 Months Imprisonment In A Criminal Proceeding For The Same Fraudulent Scheme
Date 27/07/2011
The U.S. Commodity Futures Trading Commission (CFTC) today announced that Judge Charles R. Norgle of the U.S. District Court for the Northern District of Illinois entered a consent order requiring defendants Jay C. Nolan of Wilmette, Ill., and his company, Lodge Capital Group, LLC (Lodge Capital), jointly and severally to pay an $825,000 civil monetary penalty for commodity pool fraud (see CFTC Press Releases 5778-10 and 5785-10). The order also imposes permanent trading and registration bans against Nolan and Lodge Capital, among other sanctions.
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SEC Charges Liquor Giant Diageo With FCPA Violations
Date 27/07/2011
The Securities and Exchange Commission today charged one of the world’s largest producers of premium alcoholic beverages with widespread violations of the Foreign Corrupt Practices Act (FCPA) stemming from more than six years of improper payments to government officials in India, Thailand, and South Korea.
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ISDA: CDS On US Sovereign Debt Q&A
Date 27/07/2011
The following are responses to the most frequently-asked questions that ISDA has received in connection with a potential CDS Credit Event on US sovereign debt. The following does not constitute legal advice, and is subject in all respects to any determination that the ISDA Americas Credit Derivatives Determinations Committee may make in relation to CDS referencing the United States. ISDA makes no comment on the likelihood of the events described in this Q&A.
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SEC Staff Issues Summary Report Of Sweep Examination Of Structured Products Sold To Retail Investors
Date 27/07/2011
The Securities and Exchange Commission staff today issued a report identifying common weaknesses seen in sales of structured securities products and describing measures by broker-dealers to better protect retail investors from fraud and abusive sales practices.
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Americas Trading Group Selects NYSE Technologies To Develop And Manage Its High-Performance Execution Platform For Latin America
Date 27/07/2011
Americas Trading Group (ATG) announced today that it has selected NYSE Technologies, the commercial technology division of NYSE Euronext, as a primary technology provider for the development and operation of ATG's new electronic trading platform for the Latin American markets. This broker-neutral, high performance execution platform combines the robustness of NYSE Technologies Managed Transaction Hub infrastructure with ATG´s leading expertise in electronic trading throughout the region.
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Speech By SEC Commissioner Kathleen L. Casey: Statement At Open Commission Meeting — Adoption Of Final Rules Relating To Security Ratings
Date 27/07/2011
Thank you, Chairman Schapiro, and thanks to the Division of Corporation Finance and the other Divisions and Offices that contributed to the Security Ratings release. Pursuant to Section 939A of the Dodd-Frank Act, the release removes references to credit ratings from certain rules and forms under the Securities Act and the Exchange Act and I support its adoption.
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Buy-side Executives Forecast Agency Broker Consolidation - Bloomberg Tradebook's First Forum Identifies Key Trading Trends
Date 27/07/2011
Buy-side traders, facing lower volatility and volumes, say that the number of agency brokers will decrease over the next year, according to comments released today by Bloomberg Tradebook, a leading global agency broker.
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