FTSE Mondo Visione Exchanges Index:
News Centre
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HKFE Announces Revised Margins For Futures Contracts
Date 27/12/2013
Hong Kong Futures Exchange Limited (HKFE), a wholly-owned subsidiary of Hong Kong Exchanges and Clearing Limited (HKEx), has announced that with effect from the commencement of trading on Thursday, 2 January 2014, the minimum margins to be collected by an Exchange Participant from its clients in respect of their dealings in the following futures contracts will be as outlined in the table below. The adjustments are based on the clearing company’s normal procedures and standard margining methodology.
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MCX Weekly Market Report - December 20, 2013 – December 26, 2013
Date 27/12/2013
Click here to download MCX's weekly market report.
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HKEx: China Securities Depository And Clearing Corporation Becomes CCASS Clearing Agency Participant
Date 27/12/2013
Hong Kong Exchanges and Clearing Limited (HKEx) announced today (Friday) that its wholly-owned subsidiary, Hong Kong Securities Clearing Company Limited (HKSCC), has admitted China Securities Depository and Clearing Corporation Limited (ChinaClear) as a Clearing Agency Participant to the Central Clearing and Settlement System (CCASS) of HKSCC.
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Malawi Stock Exchange Weekly Trading Report- 27th December, 2013
Date 27/12/2013
Click here to download Malawi Stock Exchange's weekly trading report.
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Moscow Exchange Fixing To Be Used To Calculate NFEA FX Swap Rate
Date 27/12/2013
The National Federation of Enterprise Agencies (NFEA) has said that starting 9 January 2014, Moscow Exchange's USD/RUB fixing (USDFIXME) will be used as the prime rate in place of the CBR rate when calculating the NFEA FX swap rate.
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Japan's Financial Services Agency: Reforms Of On-Site Monitoring Following The Mizuho Bank Case
Date 27/12/2013
The Financial Services Agency (hereinafter referred to as the “FSA”) has been making reforms of its inspection under the new “Financial Monitoring Policy.” As part of the reforms, following the Mizuho bank case regarding its relations with anti-social forces, the FSA is determined to take the following measures.
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American Bankers Association To File Lawsuit On Volcker Rule TruPS Provisions
Date 26/12/2013
The American Bankers Association has announced its intent to shortly file a lawsuit challenging the Volcker Rule’s trust preferred securities (TruPS) provisions, seeking emergency relief.
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SEC Charges New York-Based Brokerage Firm For Ignoring Red Flags In Soft Dollar Scheme
Date 26/12/2013
The Securities and Exchange Commission today announced sanctions against a New York-based brokerage firm for ignoring red flags and paying more than $400,000 in soft dollars for expenses that an investment adviser had not properly disclosed to clients.
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MIAX Options Exchange: Amendments To MIAX Rule 404 And 404A – Short Term And Quarterly Option Series
Date 26/12/2013
The Exchange has filed with the Securities and Exchange Commission amendments to MIAX Rules 404, Series of Option Contracts Open for Trading and 404A, Select Provisions of Options Listing Procedures Plan.
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FINRA Fines Barclays $3.75 Million For Systemic Record And Email Retention Failures
Date 26/12/2013
The Financial Industry Regulatory Authority (FINRA) announced today that it fined Barclays Capital Inc. $3.75 million for systemic failures to preserve electronic records and certain emails and instant messages in the manner required for a period of at least 10 years.
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