FTSE Mondo Visione Exchanges Index:
News Centre
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Hong Kong Securities And Futures Commission Welcomes Voluntary Code Of Conduct For ESG Ratings And Data Products Providers
Date 03/10/2024
The Securities and Futures Commission (SFC) welcomes the publication today of a voluntary code of conduct (VCoC) by an industry-led working group for environmental, social and governance (ESG) ratings and data products providers providing products and services in Hong Kong.
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New Zealand Financial Markets Authority Appoints Kari Jones As Executive Director Transformation And Operational Delivery
Date 03/10/2024
The Financial Markets Authority (FMA) – Te Mana Tātai Hokohoko – today confirmed the appointment of Kari Jones to join the FMA’s executive leadership team as Executive Director for Transformation and Operational Delivery.
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NZX Shareholder Metrics - September 2024
Date 03/10/2024
Please see attached NZX Limited shareholder metrics for September 2024.
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CFTC Charges Former CEO Of Carbon Credit Project Developer With Fraud Involving Voluntary Carbon Credits - In First CFTC Actions For Fraud In The Voluntary Carbon Credit Market, CFTC Also Files And Settles Charges Against Project Developer And Former COO
Date 02/10/2024
The Commodity Futures Trading Commission today filed a complaint in the U.S. District Court for the Southern District of New York against Kenneth Newcombe of California, the former chief executive officer and majority shareholder of a Washington, D.C.-based carbon credit project developer, charging fraud and false, misleading, or inaccurate reports relating to voluntary carbon credits. The CFTC also issued orders filing and settling charges against Washington, D.C.-based CQC Impact Investors LLC (CQC) and against Jason Steele, CQC’s former chief operating officer. These are the first CFTC actions for fraud in the voluntary carbon credit market.
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SEC Announces Departure Of Enforcement Director Gurbir S. Grewal - Sanjay Wadhwa, A 21-Year Agency Vet, Named Acting Director; Sam Waldon Named Acting Deputy Director
Date 02/10/2024
The Securities and Exchange Commission today announced that Gurbir S. Grewal, Director of the Division of Enforcement, will depart the agency, effective Oct. 11, 2024. Upon Mr. Grewal’s departure, Sanjay Wadhwa, the Division’s Deputy Director, will serve as Acting Director, and Sam Waldon, the Division’s Chief Counsel, will serve as Acting Deputy Director.
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CFTC Charges Oregon Resident And His Corporation With Fraud Related To Leveraged Foreign Currency And Metals, And Failing To Register
Date 02/10/2024
The Commodity Futures Trading Commission today announced a civil enforcement action in the U.S. District Court for the District of Oregon against SimTradePro Inc., an Oregon corporation, and its founder, Robert L. Adams. The complaint alleges the defendants defrauded more than 100 U.S. customers out of at least $2.3 million; acted as an unregistered commodity pool operator and commodity trading advisor; failed to make the required disclosure regarding simulated or hypothetical trading results; and Adams acted as an unregistered associated person of an introducing broker.
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Moscow Exchange Trading Schedule For 2025 Holidays
Date 02/10/2024
Moscow Exchange announces the trading schedule of its markets for the 2025 public holidays.
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CME: Trading In Tuesday And Thursday Crude Oil Options Surpasses 100,000 Contracts As Demand Soars
Date 02/10/2024
CME Group, the world's leading derivatives marketplace, today announced that combined trading in its Tuesday and Thursday Crude Oil Weekly options has surpassed 100,000 total contracts traded since launching on July 22, 2024. This week, more than 50,000 Crude Oil Weekly options also traded on a single day for the first time ever as demand for short-term options soars.
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Building A Community Banking Framework For The Future, Federal Reserve Governor Michelle W. Bowman, At The 2024 Community Banking Research Conference, Sponsored By The Federal Reserve System, The Conference Of State Bank Supervisors, And The Federal Deposit Insurance Corporation, St. Louis, Missouri
Date 02/10/2024
It is an honor to return to St. Louis for the 12th year of the Community Banking Research Conference.1 This conference is a model of effective partnership between the Federal Reserve and the Conference of State Bank Supervisors, and more recently, the Federal Deposit Insurance Corporation (FDIC). It is an opportunity for us all to dig deeper into the community banking model and the important role of community banks now and into the future. Together, regulators work to ensure that the approach to supervision and regulation is fit for purpose, and that each element of both supervision and regulation acts in a complementary manner. Policy disagreements are a healthy part of the process, but we must also strive to build consensus where we can. At a minimum, we must understand and respect our counterparts' and colleagues' viewpoints. Ultimately, we all share the same goal of promoting a safe and sound banking system.
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BIS: Basel Committee Reports Member Jurisdictions Making Progress In Implementing Basel III
Date 02/10/2024
- Member jurisdictions have made significant progress in implementing the final elements of Basel III.
- Update sets out the adoption status of the Basel III framework in member jurisdictions as of end-September 2024.
- Committee will continue to closely monitor and assess the full and consistent implementation of Basel III standards.