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Date 02/12/2015
SEC: Grant Thornton Ignored Red Flags In Audits
The Securities and Exchange Commission today announced that national audit firm Grant Thornton LLP and two of its partners agreed to settle charges that they ignored red flags and fraud risks while conducting deficient audits of two publicly traded companies that wound up facing SEC enforcement actions for improper accounting and other violations.
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Date 02/12/2015
EBRD Holds Climate Technology Transfer Event At COP21 In Paris
At the Paris COP21 climate talks this morning, the EBRD held a half-day side event on climate technology transfer issues.
Led by Josué Tanaka, the EBRD Managing Director for Energy Efficiency and Climate Change, the session opened with an inspirational address from José María Figueres, Chairman of Rocky Mountain Institute/Carbon War Room and ex-President of Costa Rica. Mr Figueres stressed the environmental urgency of climate change in a difficult global context characterised by weakness in economic development, political tensions and the decline of multilateralism. He called for the establishment of a Climate Change Marshall plan to trigger an acceleration in the rate of climate technology deployment. The world took a similar approach to address the financial crisis in 2008.
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Date 02/12/2015
EBA Reports On The Publication Of Administrative Penalties On An Anonymous Basis
The European Banking Authority (EBA) released today a report reviewing the publication by competent authorities, on an anonymous basis, of administrative penalties imposed for breach of the national provisions transposing the Capital Requirements Directive (CRD) or of the Capital Requirements Regulation (CRR). The report also includes links to the websites of competent authorities where such sanctions are published and makes recommendations to enhance harmonisation in terms of disclosure and facilitate access to information. The EBA also published a list of links to each competent authority's publication of such administrative penalties, which will be updated on a regular basis. -
Date 02/12/2015
ACER Publishes The 12th Edition Of The REMIT Q&As
The 12th edition of REMIT Questions and Answers contains the most up-to-date information concerning the EU Regulation on wholesale energy market integrity and transparency. The Agency responds within this document to more than 100 questions from stakeholders.
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Date 02/12/2015
FTSE China Index Series Quarterly Review
- Three additions to the FTSE China A50 Index in this review period
- Two additions to the FTSE China 50 Index
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Date 02/12/2015
Personal Accountability: Speech By Tracey McDermott, Acting Chief Executive, FCA, Delivered At The City & Financial Conference On Personal Accountability In The Financial Services Industry, 2 December 2015, London
Good morning and thank you. It is a pleasure to be here today.
Today’s conference is geared to providing practical answers to practical questions around SMR implementation.
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Date 02/12/2015
Saudi Arabia's Capital Market Authority: Announcement Regarding The Public Consultation Of The Draft Amended Listing Rules
As part of the Capital Market Authority's ("CMA") continuous efforts to develop the capital market and protect investors, and based on the Capital Market Law ("CML") issued by the Royal Decree Number (M/30) Dated 2/6/1424 H, the CMA Board has issued its Resolution which includes publishing the draft amended Listing Rules ("Rules") on the CMA’s website (indicated below) to enable concerned and interested parties to provide their comments and observations.
These proposed amendments also come as part of the various efforts and initiatives to develop the capital market in the Kingdom. One of the main initiatives to reach the CMA's goals is by developing the CMA’s Implementing Regulations and applying the provisions of the CML through the current joint project between the CMA and the Saudi Stock Exchange (Tadawul) for the purposes of separating the functions and jurisdictions between both entities as per the relevant CML provisions, in which the working-teams appointed for such project will conduct a comprehensive review of all Implementing Regulations and Internal Policies and Procedures at both the CMA and Tadawul during the next phase in order to achieve the desired goals. -
Date 02/12/2015
OneChicago Announces Trading Volume For November 2015
OneChicago, LLC (OCX), a securities finance exchange, today announced its November 2015 volume of 683,335, a decrease of 39% year-over-year. OneChicago is a CFTC and SEC regulated exchange offering Single Stock Futures (SSF), a Delta One product, on approximately 1,800 equities, including ADRs and ETFs.
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Date 02/12/2015
BOX Options Exchange Joins IPC's Rapidly Growing Equity Options Marketplace
IPC Systems, Inc., a leading global provider of specialised communications and managed network-as-a-service solutions for the financial trading community, today announced that it continues to grow its equity options marketplace with the addition of BOX Options Exchange (BOX) to the IPC Financial Markets Network. BOX is an all-electronic equity options market designed to empower participants by providing an efficient marketplace and cutting-edge technology.
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Date 02/12/2015
Qatar Central Securities Depository Announces The Issuing Of A New Version Of Investor’s Statement Of Account
Qatar Central Securities Depository announces that, as part of the company efforts to develop and provide the best services to shareholders and investors, it has released a new advanced form of Account Statement contains all the shareholders’ details. These new forms will be available starting from the date of 30/11/2015.
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