FTSE Mondo Visione Exchanges Index:
News Centre
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Shenzhen Stock Exchange: Guidelines For Standardized Operations Of ChiNext Listed Companies
Date 16/10/2009
The Shenzhen Stock Exchange released yesterday the “Guidelines for Standardized Operations of ChiNext Listed Companies” (Hereinafter referred to as “Guidelines for Standardized Operations”), implemented on the same day.
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Statement Of Chairman Gary Gensler On House Financial Services Committee Passage Of OTC Derivatives Regulatory Reform Legislation
Date 15/10/2009
U.S. Commodity Futures Trading Commission Chairman Gary Gensler today commented on the OTC Derivatives Markets Act of 2009, passed this morning by the House of Representatives Committee on Financial Services.
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ICE Futures Canada: FCM Customer Margin Changes
Date 15/10/2009
The following initial and maintenance margins apply to non-participant speculative accounts held with FCMs. Non-participants holding hedge based positions may apply for a hedge exemption under Rule 4E.08. The minimum margin level under the hedge exemption is the clearinghouse margin.
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SIFMA’s Bentsen Statement On Committee Passage Of Derivatives Regulation
Date 15/10/2009
The Securities Industry and Financial Markets Association today released a statement from Ken Bentsen, Executive Vice President, Public Policy and Advocacy in response to the House Financial Services Committee’s passage of the Over-the-Counter Derivatives Markets Act of 2009.
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SEC: Barry Walters Named Chief Freedom Of Information Act And Privacy Act Officer
Date 15/10/2009
The Securities and Exchange Commission today announced that Barry Walters has been named Chief Freedom of Information Act and Privacy Act Officer.
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RTS Standard Volume Exceeds USD625 Million
Date 15/10/2009
October 15, 2009 saw a record trading activity on RTS Standard.
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FINRA Announces Two New Members of Board of Governors
Date 15/10/2009
The Financial Industry Regulatory Authority (FINRA) announced today that two new public members have been appointed to its Board of Governors.
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Program Trading Averaged 29.0 Percent Of NYSE Volume During Oct. 5-9
Date 15/10/2009
The New York Stock Exchange, a subsidiary of NYSE Euronext (NYX), today released its weekly program-trading data compiled from member firms’ executed volume from NYSE’s orders database. The report includes trading on the NYSE for Oct. 5-9.
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CFTC Charges Florida Resident And His Panamanian Corporation With Fraud And Misappropriation - At Least $16.4 Million In Customer Funds Solicited By Making False Statements, With More Than $2 Million Misappropriated For Personal Use
Date 15/10/2009
The U.S. Commodity Futures Trading Commission (CFTC) today announced the filing of an enforcement action against Trader’s International Return Network (TIRN), a Panamanian corporation, and its president David Merrick of Apopka, Fla., charging them with solicitation fraud and misappropriation of customer funds involving at least $16.4 million.
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Dual GDS And Convertible Bond Issue For Tata Motors Admitted To Trading On Luxembourg Stock Exchange
Date 15/10/2009
On 15 October 2009, the Luxembourg Stock Exchange admitted to trading a convertible bond issue and an issue of Global Depositary Shares (GDSs) from Tata Motors, India’s largest automobile maker, for a total amount issued of USD 750 million.
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