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Charlie McCreevy, European Commissioner For Internal Market And Services - From Quantity To Quality: The Future Of Internal Market Regulation - European Policy Centre Breakfast Policy Briefing Brussels, 7 April 2005
Date 07/04/2005
I am very pleased to be with you at the EPC this morning to talk about improving the regulatory framework governing the Internal Market. This is a topic on which I think we see very much eye to eye. I would also like to say a few words about the internal market in a wider context, notably that of my forthcoming visit to the US later this month. But first I would like to say that it is with regret that I heard that Mr. Bruce Ballantine is not with us anymore. As the director for the
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CESR Is Pleased To Publish Today Its 2004 Annual Report, Summarising CESR’s Key Areas Of Activity Throughout 2004, And The Achievements Of CESR To Put In Place A Proper Regulatory And Supervisory Environment For The EU Single Market In Financial Services
Date 07/04/2005
CESR is pleased to publish today its 2004 Annual report.
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CBOE And CFE To Observe Moment Of Silence To Honor Pope John Paul II Friday, April 8, 2005
Date 07/04/2005
The Chicago Board Options Exchange (CBOE) and the CBOE Futures Exchange (CFE) announced that a moment of silence will be observed at CBOE and CFE to honor the memory of Pope John Paul II, from 8:29 a.m. to 8:30 a.m. (Chicago time, CDT) on Friday, April 8, 2005.
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CalPERS Seeks To Change Executive Compensation Plan At Novell - Pension Fund Calls On Novell Shareowners To Support Shareowner Proposal At April 14 Annual Meeting To Require Performance-Based Compensation
Date 07/04/2005
The California Public Employees’ Retirement System (CalPERS) today called on shareowners of Novell Incorporated to pressure the Waltham, Massachusetts-based software company to tie its executive compensation to performance.
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UK’s Financial Services Authority Fines Auditor For Market Abuse
Date 06/04/2005
The Financial Services and Markets Tribunal today directed that the Financial Services Authority (FSA) fines Mr Arif Mohammed, a former Pricewaterhouse Coopers (PwC) audit manager, £10,000 for committing market abuse. This is the first time the market abuse provisions in the Financial Services and Markets Act 2000 (FSMA) have been the subject of a Tribunal decision.
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TSX Statistics March 2005
Date 06/04/2005
Click here to download TSX's statistics for March 2005.
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The Philadelphia Stock Exchange To Observe A Moment Of Silence In Honor Of Pope John Paul II On Friday, April 8
Date 06/04/2005
The Philadelphia Stock Exchange (PHLX) will join with the New York Stock Exchange in observing a moment of silence on Friday, April 8 from 9:29-9:30 a.m., the day of the funeral service for the Pope John Paul II. Trading will commence at the regular time of 9:30 a.m.
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The Philadelphia Stock Exchange Announces March Volume - “Volume Increases In All Products: Currency Option Contracts More Than Doubled”
Date 06/04/2005
The Philadelphia Stock Exchange announced today that volume in March increased in all products compared to the previous month.
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Statement By SEC Chairman: Opening Statement At Commission Open Meeting Of April 6, 2005, Re: Regulation NMS
Date 06/04/2005
Statement by SEC Chairman: Opening Statement at Commission Open Meeting of April 6, 2005, re: Regulation NMS by Chairman William H. Donaldson U.S. Securities and Exchange Commission Washington, D.C. April 6, 2005 Introduction The next and final item on our agenda is a recommendation from the Division of Market Regulation that the Commission adopt Regulation NMS. Regulation NMS is an integrated set
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Statement by SEC Chairman: Opening Statement At Commission Open Meeting Of April 6, 2005, Re: Broker-Dealer Rule
Date 06/04/2005
Statement by SEC Chairman: Opening Statement at Commission Open Meeting of April 6, 2005, re: Broker-Dealer Rule by Chairman William H. Donaldson U.S. Securities and Exchange Commission Washington, D.C. April 6, 2005 The first item on this morning’s agenda is a recommendation from the Division of Investment Management that we adopt a final rule addressing the application of the Investment Advisers Act of
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