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  • Eric Bustillo Named Regional Director Of SEC's Miami Regional Office

    Date 16/12/2009

    The Securities and Exchange Commission announced today that Eric Bustillo has been named Regional Director of the SEC's Miami Regional Office. Mr. Bustillo joins the SEC from the U.S. Attorney's Office in the Southern District of Florida where he is an Assistant U.S. Attorney and has been Chief of the Economic & Environmental Crimes Section since 2005. He formerly served in the SEC's Miami Regional Office from 1990 to 1995 as an enforcement staff lawyer and as a branch chief. He anticipates assu

  • CalPERS Seeks Federal Support For Shareowner Corporate Governance Push

    Date 16/12/2009

    The California Public Employees’ Retirement System (CalPERS) today asked federal lawmakers to support shareowner efforts to improve the governance practices of America’s public companies.

  • SEC Approves Enhanced Disclosure About Risk, Compensation And Corporate Governance

    Date 16/12/2009

    The Securities and Exchange Commission today approved rules to enhance the information provided to shareholders so they are better able to evaluate the leadership of public companies.

  • SIFMA’s Economic Advisory Roundtable Unveils Predictions for Q4 2009, 2010

    Date 16/12/2009

    The Securities Industry and Financial Markets Association’s (SIFMA) Economic Advisory Roundtable today unveiled its outlook for Q4 2009 and 2010, forecasting the Federal Open Market Committee will not change its current 0.0 to 0.25 percent target federal funds rate at its December 15-16 meeting.

  • SEC Approves Stronger Safeguards to Protect Clients’ Assets Controlled by Investment Advisers

    Date 16/12/2009

    The Securities and Exchange Commission today adopted rules designed to substantially increase the protections for investors who turn their money and securities over to an investment adviser registered with the SEC. The new rules provide safeguards where there is a heightened potential for fraud or theft of client assets.