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  • ESMA Publishes Credit Rating Agencies Market Share

    Date 16/12/2013

    ESMA has published today the market share of the credit rating agencies (CRA) registered within the EU as of 12 December 2013. The respective CRAs’ total market share is calculated according to the annual turnover generated from credit rating activities and ancillary services, at group level. The annual turnover is for the full calendar year 2012. 

  • SEC Charges Perpetrators Of Prime Bank Schemes In Las Vegas And Switzerland

    Date 16/12/2013

    The Securities and Exchange Commission today announced fraud charges against a company named with an acronym for “Make A Lot Of Money” that is behind a pair of advance fee schemes guaranteeing astronomical returns to investors in purported prime bank transactions and overseas debt instruments.

  • Statement By Commissioner Barnier On The Appointment Of Danièle Nouy As First Chairperson Of The Supervisory Board Of The Single Supervisory Mechanism

    Date 16/12/2013

    "I welcome the appointment by the Member States of Danièle Nouy as first Chairperson of the Supervisory Board of the Single Supervisory Mechanism (SSM) (IP/12/953). Her nomination was approved by the European Parliament last week."

  • International Monetary Fund: Statement On The Final Financial Sector Monitoring Mission To Spain

    Date 16/12/2013

    A staff team from the International Monetary Fund (IMF) visited Madrid December 2-16 for the fifth independent monitoring mission in the context of the European financial assistance for bank recapitalization, as agreed with the Spanish authorities and the European Commission (EC) on July 20, 2012. This was the final such mission, as the bank recapitalization arrangement expires in late January 2014. The team met with official and private-sector representatives and discussed its preliminary findings with the Spanish authorities and European partners at the end of the visit. Staff will convey a final report to the authorities and the EC by early February 2014.

  • Hellenic Exchanges S.A. Information Document Availability

    Date 16/12/2013

    HELLENIC EXCHANGES S.A. (the Company) announces that an Information Document has been prepared, in accordance with paragraph 4.1.3.12 of the Athens Exchange Rulebook and decision 25/17.7.2008 of the ATHEX Board of Directors. This Information Document contains all information concerning the changes in the activity of the Company, due to the merger by absorption of its 100% non-listed subsidiary “ATHENS EXCHANGE S.A.” and the spin-off of the Central Securities Depository business, the Registry and Settlement services that are being provided, as well as the management of the Dematerialized Securities System, which were performed by the Company, acting as Central Depository in accordance with the provisions of articles 39 et seq. of Law 2396/1996, 74 and 83 of Law 3606/2007 and 1-7 of Law 3756/2009 as they apply, and contribution to its 100% non-listed subsidiary “HELLENIC CENTRAL SECURITIES DEPOSITORY S.A.” (former THESSALONIKI STOCK EXCHANGE CENTRE S.A.”), that have been approved by the General Meetings of the shareholders of the abovementioned companies on 22.11.2013.