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  • Gold ETF Work Seminar Jointly Held By Shenzhen Stock Exchange And Shanghai Gold Exchange

    Date 29/10/2013

    Gold ETF Work Seminar has been jointly held by Shenzhen Stock Exchange (SZSE) and Shanghai Gold Exchange (SGE) on October 25, 2013. As innovative fund products that cross both markets of securities and gold, Gold ETF elevate the operation standard of ETF products in China, and offer a good type of investment products for numerous gold investors in China.

  • Dubai Financial Market Announces Its Board Of Directors Meeting To Be Held On 4 November 2013

    Date 29/10/2013

    The Board of Directors' of Dubai Financial Market  PJSC  will  hold a  meeting  on Monday 4 November 2013, 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 nine  month  period ended 30 September  2013, as well as, discuss the normal business activities and any business issues as arise.

  • Shenzhen Stock Exchange Market Bulletin 28 October, 2013 - Issue 21

    Date 29/10/2013

    From 21 to 25 October, Shenzhen Component Index lost 4.7% and closed at 8379.6 points. SME Index closed at 5011.1 points after falling 4.7%. ChiNext Index was down 6.0% and closed at 1269.2 points. Total turnover for stocks and funds on SZSE was US$106.1 bn, or a 2.7% decrease from the week before.

  • ISDA Chairman Stephen O'Connor's Presentation At The 2013 ISDA Regional Conferences In Asia

    Date 28/10/2013

    DateTitle / DescriptionDocuments
    October 28, 2013
    ISDA Chairman Stephen O'Connor's presentation at the 2013 ISDA Regional Conferences in Asia
    Chairman’s Remarks at the ISDA Regional Conferences, October 2013 in Sydney, Hong Kong and Tokyo. (Text of remarks / slide deck)
    SOC Asia Remarks 2013 final.pdfSOC Asia Presentation Oct2013 final.pdf

  • Rick Ketchum, FINRA Chairman And Chief Executive Officer - SIFMA C&L New York Regional Seminar - A New Day In Regulation Of tThe Financial Markets

    Date 28/10/2013

    Thank you, Jerry [Baker], for that introduction and for the invitation to join you here today. 

    I want to talk to you this morning about the regulatory challenges facing FINRA. Specifically, I want to talk about how technology—and the data it allows us to see—is evolving the way we regulate the markets. Already, there are a number of technological resources—especially in the areas of data, risk analytics and surveillance—that are changing the way FINRA and other regulators examine firms and oversee the markets. We are at the very early stages of this still-new era of big data and cloud computing, but the transformative potential for regulation is very promising. We envision a "new day" in regulation—where, using the power of big data and technology, we can see information in a new way, and better protect investors.