FTSE Mondo Visione Exchanges Index:
News Centre
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Date 22/07/2009
Speech By SEC Chairman Mary L. Schapiro: Statement At SEC Open Meeting
We meet today to consider a proposal that would significantly curtail the corrupting and distortive influence of pay to play practices, including, among other things, campaign contributions made to influence the selection of investment advisers to manage public pension plans and similar government investment accounts.
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Date 22/07/2009
CBOE Announces Intraday Calculation Of Implied Correlation Index Based On The S&P 500 Index
The Chicago Board Options Exchange (CBOE) today announced that beginning Monday, July 27, the Exchange will begin publishing intraday data for the CBOE S&P 500 Implied Correlation Index tied to two different option maturities - January 2010 (ticker symbol ICJ) and January 2011 (ticker symbol JCJ). CBOE will disseminate ICJ and JCJ values four times per minute during the trading day versus once a day currently.
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Date 22/07/2009
SEC Seeks Return Of $4 Million In Bonuses And Stock Sale Profits From Former CEO Of CSK Auto Corp. - Enforcement Action Is First Solely Under "Clawback" Provision Of Sarbanes-Oxley Act
The Securities and Exchange Commission today asked a court to order the former chief executive officer of CSK Auto Corporation to reimburse the company and its shareholders more than $4 million that he received in bonuses and stock sale profits while CSK was committing accounting fraud.
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Date 22/07/2009
FINRA Fines NEXT Financial Group $1 Million For Supervisory Failures That Led To Churning Of Customer Accounts, Excessive Commissions - Additional Violations Included Unreasonable Charges For Bond Trades - Former Chief Compliance Officer Fined And Suspend
The Financial Industry Regulatory Authority (FINRA) announced today that it has fined NEXT Financial Group, Inc., headquartered in Houston, TX, $1 million for supervisory violations that primarily involved the failure to supervise its approximately 130 Office of Supervisory Jurisdiction (OSJ) branch managers, who typically supervise transactions and sales activity for individual brokers or branches within a particular region. OSJ branch managers' transactions and sales activities are then suppos
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Date 22/07/2009
Hong Kong Monetary Authority, Bank Negara Malaysia And The Monetary Authority Of Singapore: Tripartite Working Group On Exit Strategy For The Full Deposit Guarantee
Taking the opportunity of the 14th EMEAP* Governors’ Meeting being held in Hong Kong, the Hong Kong Monetary Authority, Bank Negara Malaysia and the Monetary Authority of Singapore announced today (Wednesday) the establishment of a tripartite working group to map out a coordinated strategy for the scheduled exit from the full deposit guarantee by the end of 2010 in their respective jurisdictions. ***
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Date 22/07/2009
Autorité Des Marchés Financiers General Regulation: New Measures On Securities Of Companies Involved In A Takeover Bid
The sections of the AMF General Regulation on trading in the securities of a company targeted by a takeover bid and on the reporting of trades made during the offer period have often prompted queries from the parties involved, including offerors, target companies and investment services providers. To clarify the situation and allow for the regulatory changes stemming from the Markets in Financial Instruments Directive, the AMF, in collaboration with the industry1, has amended the rules on
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Date 22/07/2009
Testimony Of Commodity Futures Trading Commission Chairman Gary Gensler Before The House Financial Services Committee, July 22, 2009
Click here to download the testimony of CFTC Chairman before the House Financial Services Committee, July 22, 2009.
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Date 22/07/2009
CBSX Utilizing OES MarketGroup For Outbound Routing
OES MarketGroup today announced that CBOE Stock Exchange (CBSX) has begun using OES as an outbound order flow router to other venues to meet CBSX’s Regulation NMS obligations.
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Date 22/07/2009
Council Of The European Union Improves Rules For EU Investment funds
The Council adopted today 1 a directive on u ndertakings for collective investment in transferable securities (UCITS) (
Date 22/07/2009
UK's Financial Services Authority Grants New Waiver To Firms On Complaints Handling
The Financial Services Authority (FSA) has offered firms a new waiver from its complaints handling rules regarding unauthorised overdraft charges for up to six months.
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