Mondo Visione Worldwide Financial Markets Intelligence

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News Centre

  • SIFMA Comments On The Department Of Labor Proposed Rulemaking On Independent Contractor Status

    Date 26/10/2020

    SIFMA submitted a comment letter today on the Department of Labor’s notice of proposed rulemaking to revise its interpretation of independent contractor status under the Fair Labor Standards Act. The proposed rule would replace the existing six-factor “economic realities” test with a similar but streamlined test that ultimately answers whether a worker is in business for themselves or is economically dependent on the employer for work.


  • NYSE Group Consolidated Short Interest Report

    Date 26/10/2020

    NYSE today reported short interest as of the close of business on the settlement date of October 15, 2020

  • Nasdaq Announces Mid-Month Open Short Interest Positions In Nasdaq Stocks As Of Settlement Date October 15, 2020

    Date 26/10/2020

    At the end of the settlement date of October 15, 2020, short interest in 2,517 Nasdaq Global MarketSM securities totaled 8,261,327,139 shares compared with 8,379,625,495 shares in 2,499 Global Market issues reported for the prior settlement date of September 30, 2020. The mid-August short interest represents 3.17 days compared with 2.83 days for the prior reporting period.

  • CFTC To Hold An Open Commission Meeting On November 2

    Date 26/10/2020

    Commodity Futures Trading Commission Chairman Heath P. Tarbert today announced the CFTC will hold an open meeting on Monday, November 2, 2020 at 9:30 a.m. (EST). The meeting will be held virtually in accordance with the agency’s implementation of social distancing due to the COVID-19 (coronavirus) pandemic.

  • Statement At The SEC’s Staff Roundtable On Regulation Best Interest And Form CRS, SEC Chairman Jay Clayton, Oct. 26, 2020

    Date 26/10/2020

    Good afternoon and welcome to the SEC’s Staff Roundtable on Regulation Best Interest and Form CRS.[1] We hope that this event provides useful information to broker-dealers and investment advisers in complying with these key regulatory enhancements. Staff from the Commission’s Division of Trading and Markets, Division of Investment Management and Office of Compliance Inspections and Examinations, together with staff from FINRA, will present some insights and feedback as we approach the four-month anniversary of the June 30 Reg BI and Form CRS compliance date.