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News Centre
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SEC Charges Ken Leech, Former Co-Chief Investment Officer Of Western Asset Management Co., With Fraud - Defendant Allegedly Engaged In Cherry-Picking, Allocating Hundreds Of Millions Of Dollars In Net First-Day Gains And Losses To Favored And Disfavored Portfolios, Respectively
Date 25/11/2024
The Securities and Exchange Commission today announced fraud charges against Stephen Kenneth (“Ken”) Leech, the former co-chief investment officer (CIO) of registered investment adviser Western Asset Management Company LLC or WAMCO, for engaging in a multi-year scheme to allocate favorable trades to certain portfolios, while allocating unfavorable trades to other portfolios, a practice known as cherry-picking.
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CFTC Swaps Report Update
Date 25/11/2024
CFTC's Weekly Swaps Report has been updated, and is now available: http://www.cftc.gov/MarketReports/SwapsReports/index.htm.
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CME Group Completes Primary Conversion Of 28-Day TIIE Interest Rate Swaps For Mexican Market
Date 25/11/2024
- 90,000 swaps converted to
Banco de M éxico's F-TIIE risk-free rate - Shift brings greater liquidity to developing derivatives market
- 90,000 swaps converted to
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Statement On Fixed Income Clearing Corporation Rules, SEC Chair Gary Gensler, Nov. 25, 2024
Date 25/11/2024
This past week, the Commission and our staff took a number of important steps to facilitate the implementation of rules regarding customer clearing in the U.S. Treasury market. I am pleased to support these actions because enhanced access to central clearing will lower costs and lower risks, while promoting all-to-all trading, competition, and resiliency in these markets.
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ISDA Response To EC Consultation On Macroprudential Policies For NBFIs
Date 25/11/2024
On November 21, ISDA responded to the European Commission’s consultation on assessing the adequacy of macroprudential policies for non-bank financial intermediation (NBFI). In the response, ISDA covers a range of key topics, including the need to consider the diversity of the NBFI sector, possible solutions to challenges in meeting collateral requirements, the importance of bank intermediation capacity, the need for deep and liquid core funding markets, enhanced data sharing among regulators and the vital role played by non-cleared derivatives markets, especially in times of stress.
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Remarks At The Program On Corporate Compliance And Enforcement Annual Fall Conference, Sanjay Wadhwa, SEC Acting Director, Division Of Enforcement. Program On Corporate Compliance And Enforcement Annual Fall Conference, New York, NY, Nov. 22, 2024
Date 25/11/2024
Good afternoon. Thank you to the Program on Corporate Compliance and Enforcement for the opportunity to speak to you all.
As is customary, my remarks are in my official capacity as Acting Director of the SEC’s Division of Enforcement, and do not necessarily reflect the views of the Commission, the Commissioners, or other members of the staff.
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Robeco Becomes New ETF Issuer At SIX Swiss Exchange
Date 25/11/2024
SIX welcomes Robeco today as the newest issuer with four actively managed ETFs in two trading currencies each, further expanding the range of available investment opportunities for investors. This increases the number of ETF issuers on SIX Swiss Exchange to 28 and the total number of tradable ETF products to 1,863.
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ISDA - CDS Market Dynamics: Analyzing Trends In Single-Name CDS And Index CDS Market Activity
Date 25/11/2024
This paper analyzes the credit default swaps (CDS) market from 2019 to the first half of 2024, focusing on trends in single-name CDS and index CDS market activity. Over this period, total CDS market activity reached a high point of $38.7 trillion in 2022, driven primarily by index CDS.
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Managing The Present, Shaping The Future - Speech By Clare Lombardelli, Bank Of England, Deputy Governor, Monetary Policy, Given At The Bank Of England Watchers Conference, Organised By King’s Business School And The Money, Macro And Finance Society
Date 25/11/2024
In her first speech as Deputy Governor for Monetary Policy, Clare Lombardelli sets out her views on the UK economy and the risks to the outlook. She then presents the Bank's plan to implement the Bernanke Review.
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ESMA Announces Further Guidance On Exclusion Criteria For The Selection Of Consolidated Tape Providers
Date 25/11/2024
The European Securities and Markets Authority (ESMA), the EU’s financial markets regulator and supervisor, is clarifying details for some of the documents that future applicants will be expected to provide when participating in the selection process for Consolidated Tapes Providers (CTPs).