FTSE Mondo Visione Exchanges Index:
News Centre
-
EBA Consults On Guidelines On Uniform Disclosure Of IFRS 9 Transitional Arrangements
Date 13/07/2017
The European Banking Authority (EBA) launched today a consultation on a set of Guidelines specifying a uniform format for the institutions' disclosure requirements of IFRS 9 and analogous expected credit losses (ECLs) transitional arrangements. The Guidelines aim at increasing consistency and comparability of the information disclosed by institutions during the transition to the full implementation of the new accounting standard, and at ensuring market discipline. The consultation runs until 13 September 2017. -
London Stock Exchange Group: ELITE Attracts External Partners To Support Further Global Expansion
Date 13/07/2017
- ELITE partners with Cassa depositi e prestiti and NUO Capital, who will acquire minority stakes in ELITE SpA
- ELITE is London Stock Exchange Group’s innovative SME support and capital raising platform
- More than 600 companies from 25 countries comprise growing ELITE community
-
EBA Updates On The Impact Of IFRS 9 On Banks Across The EU And Highlights Current Implementation Issues
Date 13/07/2017
The European Banking Authority (EBA) published today a Report including some qualitative and quantitative observations of its second impact assessment of IFRS 9. This exercise, which follows up on the first impact assessment published in November 2016, has confirmed the EBA's initial observations on the stage of preparation for the implementation of IFRS 9 and the estimated impact of IFRS 9 on regulatory own funds.
-
BME: Openfinance Celebrates Its 15th Anniversary - Leading Supplier Of Technological Solutions For Financial Advice
Date 13/07/2017
Openfinance, BME's fintech subsidiary, celebrates its 15th anniversary today as a leading specialist in the development and maintenance of innovative technological solutions for financial advice and portfolio management. The company, based in Valencia, was created in 2002, and since then it has gradually consolidated its strategy in the development of integrated solutions, providing its customers with assistance in the development of integral solutions for the implementation and maintenance of technological solutions for financial advice and portfolio management.
-
MIAX Options & MIAX PEARL - Reg SCI / SIFMA BCP Test Day Plan - October 14, 2017
Date 13/07/2017
The MIAX Exchanges will be participating in the 2017 SIFMA BCP Testing on Saturday, October 14, 2017. All members that are required to test with MIAX Options and/or MIAX PEARL Exchanges in accordance with Regulation Systems Compliance and Integrity (Regulation SCI) have been notified, however, all members are encouraged to test.
-
CISI Announces Financial Planning Team Developments
Date 13/07/2017
The Chartered Institute for Securities & Investment (CISI) has announced that Campbell Edgar CFPTM Chartered FCSI will be retiring as an employee of the Institute effective October 2017. He will continue to be involved in some CISI financial planning technical projects.
-
Vela To Acquire Object Trading Complementing Its Recent Acquisition Of OptionsCity - Acquisition Enables Vela To Offer A Comprehensive Software And Managed Services Solution Across The Entire Electronic Trading Workflow
Date 13/07/2017
Vela Trading Technologies LLC (Vela), an award-winning global leader in high performance trading, market data, and analytics technology, has signed a definitive agreement to acquire Object Trading, a global provider of a fully-managed Direct Market Access (DMA) platform, pre-trade risk controls, and analytics applications.
-
Keri Carter Appointed Second Vice Chair To CISI IFP Forum Committee
Date 13/07/2017
The Chartered Institute for Securities & Investment (CISI) is delighted to announce that Keri CarterCFPTM, Chartered MCSI, Chartered Wealth Manager and Managing Director of Broadway Financial Planning has been appointed as second vice chair to the CISI IFP Forum Committee and will also head up the Accredited Financial Planning Firms steering group.
-
Hong Kong's Securities And Futures Commission Intervenes Directly And At Early Stage In Serious Corporate Cases
Date 13/07/2017
The Securities and Futures Commission (SFC) today published the first issue of its SFC Regulatory Bulletin: Listed Corporations. This series of bulletins provides guidance on the manner in which the SFC performs some of its functions under the Securities and Futures (Stock Market Listing) Rules (SMLR) and the Securities and Futures Ordinance (SFO) in relation to listed corporations and other listing matters.
-
ESMA Consults On Certain Aspects Of The MiFID II Suitability Requirements
Date 13/07/2017
The European Securities and Markets Authority (ESMA) has published a Consultation Paper (CP) on draft guidelines on certain aspects of the suitability requirements under the Markets in Financial Instruments Directive (MiFID II).
- First
- Previous
- 8125
- 8126
- 8127
- 8128
- 8129
- 8130
- 8131
- 8132
- 8133
- 8134
- 8135
- 8136
- 8137
- 8138
- 8139
- 8140
- 8141
- Next
- Last