FTSE Mondo Visione Exchanges Index:
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Taiwan Futures Exchange Monthly Newsletter - September 2017
Date 13/09/2017
Click here to download TAIFEX's September Newsletter.
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ETFGI Reports Assets Invested In ETFs/ETPs Listed In Europe Have Increased 28.3% In 2017 To Reach A New Record Of US$734 billion At The End Of August
Date 13/09/2017
ETFGI, a leading independent research and consultancy firm on trends in the global ETF/ETP ecosystem, reported today that assets invested in ETFs/ETPs listed in Europe have increased 28.3% in the first 8 months of the year to reach a new record of US$734 billion at the end of August, according to ETFGI’s August 2017 preliminary European ETF and ETP industry insights report, an annual paid for research subscription service (click here to see the chart for growth in assets).
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Qatar Stock Exchange: QE Index, QE Al Rayan Islamic Index And QE All Share Constituents October 1st 2017
Date 13/09/2017
QE IndexAl Meera Consumer Goods Company, Qatar First Bank and Mazaya Qatar will join QE Index. Aamal and Qatar Insurance will be removed from the index. -
UPDATE -- Nasdaq Named To Dow Jones Sustainability North America Index
Date 13/09/2017
Nasdaq (Nasdaq:NDAQ) today announced it has been selected as an index component of the Dow Jones Sustainability Indices (DJSI), one of the most prestigious corporate sustainability ranking efforts, for the second consecutive year. Nasdaq is one of approximately 160 North American companies included in the index, and one of only eight diversified financial services firms. It is the only stock exchange selected from North America.
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FINRA Hearing Panel Fines C.L. King & Associates $750,000 For Negligent Misrepresentations And Omissions In Connection With Death Put Investments And AML-Related Violations
Date 12/09/2017
The Financial Industry Regulatory Authority (FINRA) announced today that a FINRA extended hearing panel censured Albany, NY-based broker-dealer C.L. King & Associates, Inc. and fined the firm $750,000 for negligently making material misrepresentations and omissions to issuers in connection with the firm’s redemptions of debt securities on behalf of a hedge fund customer. The hearing panel also found that C.L. King and its AML Compliance Officer, Respondent Gregg Alan Miller, who was suspended in a principal capacity for six months and fined $20,000, failed to establish and implement a reasonable AML program and failed to adequately respond to red flags related to the liquidation of billions of shares of penny stocks indicative of potentially suspicious activity by two customers. The decision resolves charges brought by FINRA's Department of Enforcement in April 2016.
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New DTCC White Paper Identifies Opportunities For Banks To Reduce Risk Capital Charges Related To FRTB - More Than 10 Billion OTC Derivative Transactions Analyzed In DTCC’s ‘‘Real Price Data Study” To Form Credible Observations And Recommendations
Date 12/09/2017
A new white paperfrom The Depository Trust & Clearing Corporation (DTCC), the premier post-trade market infrastructure for the global financial services industry, suggests ‘real’ price and non-modellable risk factors (‘NMRF’) requirements under the Fundamental Review of the Trading Book (FRTB) will pose significant challenges to market participants, potentially mandating large increases in the capital that banks must maintain for market risk purposes (market risk capital). However, banks have an opportunity to reduce their market risk capital charges by using ‘pooled’ observable transaction data to demonstrate that the associated risk factors meet the ‘real’ price standards under FRTB.
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Nasdaq Announces End-Of-Month Open Short Interest Positions In Nasdaq Stocks As Of Settlement Date August 31, 2017
Date 12/09/2017
At the end of the settlement date of August 31, 2017, short interest in 2,347 Nasdaq Global MarketSM securities totaled 7,585,840,717 shares compared with 7,365,215,632 shares in 2,352 Global Market issues reported for the prior settlement date of August 15, 2017. The end-of-August short interest represents 5.12 days average daily Nasdaq Global Market share volume for the reporting period, compared with 4.42 days for the prior reporting period.
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FCAC And IIROC Sign MOU Setting Framework To Strengthen Consumer Protection
Date 12/09/2017
The Financial Consumer Agency of Canada (FCAC) and the Investment Industry Regulatory Organization of Canada (IIROC) announced today that they have signed a Memorandum of Understanding (MOU) that will strengthen consumer/investor protection.
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The Remaking Of Wall Street: Paper Examines How Private Equity Firms Mirror Investment Banks In Power And Influence, By Neil Schoenherr September 12, 2017
Date 12/09/2017
Private equity firms are more financially stable and pose less systemic risk to the global economy than the large investment banks that went defunct during the financial crisis of 2007-09, finds a new analysis by a financial regulation expert at Washington University in St. Louis School of Law.
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Canadian Securities Administrators Seeks New Members For Mining Technical Advisory And Monitoring Committee
Date 12/09/2017
The Canadian Securities Administrators (CSA) is inviting applications for new members to join the Mining Technical Advisory and Monitoring Committee (MTAMC).
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