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  • The 2021 Work Programme Of The EU Agency For The Cooperation Of Energy Regulators (ACER) Is Published

    Date 23/12/2020

    The Agency’s Programming Document 2021 - 2023, which includes the 2021 Work Programme, was published today following its adoption on 21 December by ACER’s Administrative Board. The document, which also received the favourable opinion of the Agency’s Board of Regulators, is now available online here.

  • ESMA Consults On Fines And Penalties For Data Reporting Services Providers

    Date 23/12/2020

    The European Securities and Markets Authority (ESMA), the EU’s securities markets regulator, today launches a consultation on specific aspects of the procedural rules for imposing fines and penalties on Data Reporting Services Providers (DRSPs) under ESMA’s direct supervision.


  • ESMA Updates Guidance On Waivers From Pre-Trade Transparency

    Date 23/12/2020

    The European Securities and Markets Authority (ESMA), the EU’s securities markets regulator, published today an updated opinion providing guidance on pre-trade transparency waivers for equity and non-equity instruments. It covers guidance related to request for quote systems, guidance on how trading venues should apply for a waiver to their national competent authority, and updates on frequently encountered issues when assessing waiver notifications.

  • FEAS Newsletter: December 2020

    Date 23/12/2020

    What's Inside?

    Page 2-3: FEAS General Assembly and Working Committee Meeting |
    2 New Members
    Page 4: Training | How to Start CCP Business
    Page 5: FEAS Factsheet: Exchanges and Depositories
    Page 6: FEAS Champions League Award 2020
    Page 7: FEAS Members' Marketing and PR Professionals Meeting |
    Partner Events
    Page 8: FEAS Talks Series: 10 New Interviews | 1 Blogpost
    Page 9: Recent trending posts on social media

  • Hong Kong Securities And Futures Commission Issues Restriction Notice To A Broker To Freeze Client Accounts Linked To Suspected Market Manipulation

    Date 23/12/2020

    The Securities and Futures Commission (SFC) has issued a restriction notice to CNI Securities Group Limited (CNI), prohibiting it from dealing with or processing certain assets held in three client accounts, which are related to suspected market manipulation in the shares of a company listed on The Stock Exchange of Hong Kong Limited.