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  • Minutes Of The Federal Open Market Committee, March 14-15, 2017

    Date 05/04/2017

    The Federal Reserve Board and the Federal Open Market Committee on Wednesday released the attached minutes of the Committee meeting held on March 14-15, 2017. A summary of economic projections made by Federal Reserve Board members and Reserve Bank presidents for the meeting is also included as an addendum to these minutes.

  • SIFMA Statement On DOL's 60-Day Delay Of The Fiduciary Rule

    Date 05/04/2017

    SIFMA today issued the following statement from Kenneth E. Bentsen, Jr., SIFMA president and CEO, on the Department of Labor's final rule to delay the fiduciary rule for 60 days:

    "We welcome the Department of Labor's 60-day delay of the fiduciary rule to avoid customer confusion and market disruption, and comply with the President's request that the Department undertake a wholesale review of the rule's consequential impacts on investors."

  • Speech Of Commissioner Sharon Y. Bowen At The Eurofi High Level Seminar 2017 - What Future For Global Regulation Of Financial Markets?

    Date 05/04/2017

    Introduction

    Thank you for the kind introduction and good evening everyone. It is a pleasure to be here at the Eurofi High Level Seminar 2017. I attended the conference last year in Amsterdam, and found it so informative and engaging that I insisted on returning this year. Eurofi is a very important conference generally, but especially given recent unexpected events, it presents an opportune time for dialogue not only between European regulators and market participants, but also for those of us across the pond as well.

  • SEC Charges Muni Bond Underwriter With Gatekeeper Failures

    Date 05/04/2017

    The Securities and Exchange Commission today announced that an Arizona-based brokerage firm, its CEO, and its former underwriter’s counsel have agreed to settle charges related to municipal bond offerings they were underwriting that turned out to be fraudulent.

  • ESMA Identifies Areas For Improvements In Shareholder Identification And Communication Systems

    Date 05/04/2017

    The European Securities and Markets Authority (ESMA) has published the results of a recent study carried out on the investment chain and, in particular, the functioning of shareholder identification and transmission of information between issuers and shareholders. The report presents a general assessment of the level of harmonisation of national regulatory frameworks, across the EEA.