FTSE Mondo Visione Exchanges Index:
News Centre
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HKFE Announces Revised Margins For Ping An Insurance Futures And Sun Hung Kai Properties Futures
Date 21/07/2009
Hong Kong Futures Exchange Limited (HKFE), a wholly-owned subsidiary of Hong Kong Exchanges and Clearing Limited (HKEx), has announced that with effect from the commencement of trading on Thursday, 23 July 2009, the minimum margins to be collected by an Exchange Participant from its clients in respect of their dealings in the following futures contract will be as outlined in the table below. The adjustments are based on the clearing company's normal procedures and standard margining met
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FORTS Weekly Trading Results: July 13 – July 17, 2009
Date 21/07/2009
For the week of July 13 – July 17, 2009 the total trading volume on FORTS (Futures & Options on RTS) equaled 256.2 billion roubles or 11.2 million contracts, including 50.4 billion roubles during the evening trading session. The total open interest as of the last day of the week, July 17, 2009 reached 88.1 billion roubles or 5.0 million contracts.
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Interxion Partners With Burgundy To Enhance Access To Nordic Equities
Date 21/07/2009
Interxion, a leading European operator of carrier-neutral data centres, today announced an agreement with the newly launched multilateral trading facility (MTF) Burgundy to provide proximity hosting services at Interxion’s Stockholm data centre. The partnership will provide capital markets participants with highly reliable low-latency access to the new platform.
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RTS Stock Market Weekly Trading Results: July 13 – July 17, 2009
Date 21/07/2009
July 17, 2009, the RTS Index went up by 10.75% to reach 925.00 points (835.23 points as of July 10, 2009). Most of the positive impact on the Index dynamics was related to the rising prices for Gazprom ordinary shares (GAZP) (plus 19.21 points), ordinary shares of ??? "LUKOIL" (LKOH) (plus 18.69points) and Sberbank ordinary shares (SBER) (plus 14.02 points).
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Tokyo Grain Exchange: Daily Price Limits From July 22, 2009
Date 21/07/2009
The daily price limits will change from July 22, 2009. Arabica Coffee will be expanded to 1,500yen. Robusta Coffee will be expanded to 1,500yen.
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Equiduct Enters Into Strategic Partnership With Citadel Securities
Date 21/07/2009
Citadel Securities, a division of Citadel Investment Group, L.L.C., is making a significant equity investment in Equiduct, the electronic trading platform operated by Börse Berlin AG.
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New York Attorney General Cuomo Announces $456 Million Settlement With Downstream Broker Td Ameritrade In Ongoing Investigation Of Auction-Rate Securities - TD Ameritrade Joins Largest Consumer Recovery In History - Now Totaling Over $61 Billion - Cuomo A
Date 20/07/2009
Attorney General Andrew M. Cuomo today announced a settlement with TD Ameritrade, Inc. (“TD Ameritrade”), under which the company has agreed to return $456 million to investors across New York State and the nation holding illiquid auction-rate securities. Attorney General Cuomo also announced imminent legal action against Charles Schwab & Co. (“Schwab”) for deceptively selling auction-rate securities as safe, liquid, short-term investments that were similar to mo
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DIFC Authority Releases Updated Version Of 'Guide To Islamic Finance' - As Debt-Based Conventional Banking Faces Troubled Times, Asset-Backed Islamic Finance Is Becoming Popular In World's Financial Capitals
Date 20/07/2009
The Dubai International Financial Centre Authority today announced the release of the updated version of its ‘Guide to Islamic Finance in or from the DIFC’.
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TSX: Top 20 Largest Consolidated Short Position Report - July 15, 2009
Date 20/07/2009
Please find below the Top 20 Largest Consolidated Short Position Report Highlights. The report is produced twice monthly, effective the 15th and the end of each month. The report below covers the 2-week period ending July 15, 2009.
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SEC Charges Morgan Stanley And Former Adviser With Misleading Clients
Date 20/07/2009
The Securities and Exchange Commission today charged Morgan Stanley and one of the firm’s former investment adviser representatives with securities law violations for misleading clients about the money managers being recommended to them and failing to disclose conflicts of interest.
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