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Office Of Financial Research Update - Incorporating Liquidity Shocks And Feedbacks In Bank Stress Tests
Date 22/07/2015
The OFR released today a brief, "Incorporating Liquidity Shocks and Feedbacks in Bank Stress Tests." This brief discusses how stress tests could incorporate four types of shocks — credit, funding, liquidity, and collateral values — and shows that shocks can affect regulatory ratios for capital and liquidity simultaneously. Additionally, in times of stress, a bank’s responses to a binding regulatory ratio can spread shocks to other banks.
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CalPERS Highlights Outcome Of Proxy Voting Initiatives - Fund Outlines Goals And Accomplishments In New Insight Video
Date 22/07/2015
The California Public Employees' Retirement System (CalPERS) made significant progress during the 2015 proxy season, where it voted to improve the rights of shareholders to nominate corporate directors - commonly referred to as proxy access - as well as the Environmental, Social, and Governance (ESG) policies of companies in which the fund invests.
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FTSE Russell Introduces First 50% Currency Hedged Index Series
Date 22/07/2015
- Underpins investor demand for more diverse currency index measures
- Initially available on FTSE Developed ex-North America, Europe and Japan Indexes
- IndexIQ to use as basis for the first suite of 50% currency-neutral hedged ETFs
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Thomson Reuters Recognized For Leading Financial Markets Data Coverage - Thomson Reuters Ranked Top In Two Categories In 2015 Waters Rankings
Date 22/07/2015
Thomson Reuters, the world’s leading source of intelligent information for businesses and professionals, has again been recognized in this year’s Waters Rankings for the depth and quality of the data it provides to financial markets professionals worldwide. Waters Rankings are a widely respected industry awards program based on a polling of qualified readers of Waters Technology, a leading financial technology publication.
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CFTC: Federal Court Orders Florida Attorney Jay Bruce Grossman To Pay A Civil Penalty And Restitution Totaling $883,000 - Grossman Agrees Not To Appear Or Practice As An Attorney Before The CFTC
Date 22/07/2015
The U.S. Commodity Futures Trading Commission (CFTC) today announced that Judge Beth Bloom of the U.S. District Court for the Southern District of Florida entered a Consent Order against Defendant Jay Bruce Grossman, who practices law in Fort Lauderdale, Florida.
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EBA Publishes RWA Assessment As The Next Step In Improving Consistency Of Internal Model Outcomes
Date 22/07/2015
The European Banking Authority (EBA) published today two reports on the consistency of RWAs across large EU institutions for large corporate, sovereign and institutions' IRB portfolios, (collectively referred to as "low default portfolios" - LDP), as well as for the calculation of counterparty credit risk (CCR) exposures under the Internal Model Method (IMM) and the credit value adjustments (CVA) according to the advanced approach (ACVA). The reports summarise the findings obtained from two benchmarking exercises conducted in line with the mandate laid down in the Capital Requirements Directive (CRD) and related draft technical standards. The benchmarking exercises aim at improving the comparability of EU banks' RWAs and are a crucial tool to restoring trust in internal models. -
Dubai Financial Market Board Of Directors' Meeting
Date 22/07/2015
The Board of Directors' of Dubai Financial Market PJSC will hold a Board Of Directors' Meeting on Monday 27 July 2015, at 2:00 PM at Borse Dubai to discuss the financial performance of the company and approve the review report and condensed consolidated interim financial information for the six month period ended 30 June 2015, as well as discuss normal business activities and any business issues as arise.
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Shenzhen Stock Exchange Market Bulletin 20 July, 2015, Issue 11
Date 22/07/2015
Last week, Shenzhen Component Index stood at 13005.0 points after adding 8.0%. SME Index edged up 9.3% to 8742.1 points. ChiNext Index advanced 9.8% to 2783.3 points. Total turnover for stocks and funds on SZSE was US$429.1 billion, or a 26.9% increase from the week before.
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EBA Identifies Divergent Supervisory Practices In The Implementation Of Its Guidelines On The Assessment Of The Suitability Of Members Of The Management Body And Key Function Holders
Date 22/07/2015
The European Banking Authority (EBA) published today its peer review report on the assessment of the suitability of members of the management body and key function holders. The report shows that National Competent Authorities (NCAs) largely comply with the EBA guidelines. The EBA analysis identified best practices carried out by some NCAs, but also highlighted significant differences remaining between NCAs' supervisory approaches. The EBA concluded that the existing EBA guidelines have not led to sufficient convergence in supervisory practices, and proposed the incorporation in its forthcoming review of the guidelines of a number of specific best practices observed. The EBA also intends to send an opinion to the European Commission suggesting a change in the underlying Capital Requirements Directive (CRD) framework.
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ESMA Publishes Responses Received To The Draft Guidelines On Knowledge And Competence
Date 22/07/2015
The responses are available on the consultation page.
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