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  • 2016-2017 IIROC Annual Report Charts Progress On Strategic Plan

    Date 28/08/2017

    The Investment Industry Regulatory Organization of Canada(IIROC) today released its Annual Report for 2016-17. It highlights milestones achieved by the national public interest regulator in the first year of its three-year Strategic Plan, intended to better protect investors and support healthy Canadian capital markets.

  • New York State Department Of Financial Services Cybersecurity Regulation Compliance Requirements Are Effective Today

    Date 28/08/2017

    Financial Services Superintendent Maria T. Vullo reminds all entities covered by the DFS cybersecurity regulation, that today, August 28, 2017, is the first compliance date of New York’s first-in-the-nation cybersecurity regulation.  Beginning today, banks, insurance companies, and other financial services institutions regulated by DFS are required to have a cybersecurity program designed to protect consumers’ private data; a written policy or policies that are approved by the board or a senior officer; a Chief Information Security Officer to help protect data and systems; and controls and plans in place to help ensure the safety and soundness of New York’s financial services industry.  Covered entities must also begin reporting cybersecurity events to DFS through the Department’s online cybersecurity portal.  In addition, DFS recently announced that covered entities can virtually file notices of exemption, which are due within 30 days of the determination that the covered entity is exempt.

  • ECC-Response on ESMA’s Guidelines On CCP Conflict Of Interest Management

    Date 28/08/2017

    In its response to the ESMA consultation on conflicts of interest management, ECC raised the importance of exchanging best practices between central counterparties (CCPs), as well as   ensuring there is a consistent implementation across CCPs. It is, however, important to take into account the particular business situations of CCPs to ensure that measures are not disproportionate. In this views, especially possible restrictions to the management or the supervisory board have to be seen critical, according to ECC.

  • Qatar Stock Exchange And Iridium Launch Third Investor Relations Excellence Program

    Date 28/08/2017

    Qatar Stock Exchange (QSE) re-affirms today its ongoing commitment to publicly listed companies to enhance their investor relations practices. In collaboration with Iridium Investor Relations, QSE rolls out the IR Excellence Program for a third year since its successful launch in 2015. QSE highlights this as an opportunity for publicly listed companies to excel, as the IR Excellence Program will once again recognize their achievements and proactive efforts to foster professional investor relations standards. 

  • Dubai Mercantile Exchange - October Basrah Light Cargo Sold At OSP +$0.17: DME Auctions

    Date 28/08/2017

    Dubai Mercantile Exchange hosted its latest auction on Monday 28 August 2017, on behalf of Iraq’s National Oil Company, SOMO.

  • MIAX Holiday Schedule - Labor Day 2017

    Date 28/08/2017

    Please be advised the MIAX Exchanges will be closed on Monday, September 4, 2017 in observance of Labor Day.

  • HKEX: Adjustment Of SOHO China Futures

    Date 28/08/2017

    Hong Kong Exchanges and Clearing Limited (HKEX) has announced the arrangements for the adjustment to SOHO China Ltd (SOHO China) futures to account for SOHO China's special dividend.

  • Dubai Financial Services Authority And Hong Kong’s SFCSsign FinTech Cooperation Agreement

    Date 28/08/2017

    The Dubai Financial Services Authority (DFSA) and the Securities and Futures Commission (SFC) in Hong Kong today entered into an agreement to establish a framework of cooperation on financial technology (FinTech) innovation. The agreement will further strengthen the efforts of both authorities to develop an innovations-friendly ecosystem in their respective markets.  

  • Millennium Exchange Release 9.2 Oslo Børs – CDS Set-Up And Post-Trade Statistics

    Date 28/08/2017

    Oslo Børs implement Millennium Exchange Release 9.2 25 November 2017. The releaese contains adaptions to MiFID II.

  • SGX Announces Change To Listings Advisory Committee

    Date 28/08/2017

    Singapore Exchange (“SGX”) announced that Mr Lim Chin Hu will cease to be a member of its Listings Advisory Committee (“LAC”) with effect from 20 September 2017.  Mr Lim will be standing for election to be appointed as a non-executive and non-independent director of SGX, at SGX’s Eighteenth Annual General Meeting on 21 September 2017.