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  • Enforcement Director Linda Chatman Thomsen To Leave SEC

    Date 09/02/2009

    The Securities and Exchange Commission announced today that Linda Chatman Thomsen, Director of the Division of Enforcement, plans to return to the private sector. Ms. Thomsen led a historic period of SEC law enforcement during which the Commission brought more than 2,000 enforcement actions and returned billions of dollars to harmed investors. In the past two years, the Commission has brought the second and third-highest number of enforcement actions in agency history.

  • UK's Financial Services Authority Secures Over £1 Million For Victims Of Share Scam

    Date 09/02/2009

    The Financial Services Authority (FSA) has obtained a Court Order that Mr Aniz Kassamali Dhanji Manji will return £1m to investors and Mr Suresh Maganlal Bhowan will pay £17,233. These investors were victims of a share scam operated by overseas entities which sold shares to UK investors.

  • Thierry Francq Appointed Autorité Des Marchés Financiers Secretary General

    Date 09/02/2009

    Thierry Francq has been appointed Secretary General of the Autorité des marchés financiers (AMF) from 1 March 2009. The appointment was made on the recommendation of the AMF Chairman, after obtaining the opinion of the Board and the assent of the Minister for the Economy, Industry and Employment1. 1In accordance with the procedure set forth in Article L. 621-5-1 of the Monetary and Financial Code.

  • Henry Hub Natural Gas Financial Last Day Options To Launch At CME Group

    Date 09/02/2009

    CME Group Inc. the world's largest and most diverse derivatives exchange, today announced the dual listing of Henry Hub natural gas financial last day options, scheduled to begin trading on February 22 for trade date February 23. These contracts are listed with, and subject to, the rules and regulations of the New York Mercantile Exchange, Inc. The products will trade on CME ClearPort and the New York trading floor.

  • In Cooperation With The Securities & Investment Institute: Dubai Financial Market Educates Brokers, Staff On Market Abuse

    Date 09/02/2009

    The Dubai Financial Market pjsc, Hosted a seminar last week about market abuse as experts from CCL Limited, a regulatory compliance consultancy and Securities & Investment Institute’s accredited training provider, gave attendees from brokerage houses and DFM staff insight about offences in financial markets.