FTSE Mondo Visione Exchanges Index:
News Centre
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COBA Project Suspends Operations And Concludes Initial Findings On Consolidated Tape Collaboration
Date 20/03/2013
The COBA Project today announced the conclusions of its industry collaboration designed to establish a consolidated tape for European equities. Further to the proposal outlined in its open letter dated 27th November 2012, The COBA Project engaged in broad industry consultation and organised a key stakeholders working group for an initial phase of delivery.
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Moscow Exchange Weekly Market Report: March 4-7, 2013
Date 20/03/2013
The total trading volume in Moscow Exchange for the week equaled RUB5.8 trillion. Average daily trading volume amounted to RUB1,449 billion, down 4.1 % from the previous week. Trading in securities, RDRs and mutual funds units made up 2% (RUB108 billion) of the total trading volume, the fixed income market share was 3% (RUB187 billion), the derivatives market - 14% (RUB838 billion), the FX and money market – 80% (RUB4,664 billion) and the commodities market – 0.1% (RUB1 billion).
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SIX Exchange Regulation Sanction Proposal Against Publigroupe Ltd
Date 20/03/2013
SIX Exchange Regulation has submitted a sanction proposal against Publigroupe Ltd to the Sanction Commission of SIX Swiss Exchange. After completion of its investigation SIX Exchange Regulation is of the opinion that Publigroupe Ltd violated the applicable accounting standards in the annual financial statements 2011 and the interim financial statements 2012.
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Shanghai Stock Exchange: Notice Of Issues About Participation of Shares With Sales Limit And Stock Shares With Terminated Sales Limit In Listed Companies In Margin Trading, Securities Lending
Date 20/03/2013
Upon approval by the China Securities Regulatory Commission (CSRC), the Shanghai Stock Exchange (SSE) hereby releases the following notice of issues about participation of shares with sales limit and stock shares with terminated sales limit in listed companies in margin trading and securities lending, in a bid to further specify issues about margin trading and securities lending as well as regulate the relevant business management.
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Shenzhen Stock Exchange Kicked Off The “Open House Program For International Investors”
Date 20/03/2013
Shenzhen Stock Exchange (SZSE) launched the first “Open House Program for International Investors” on Friday March 15th, the World Consumer Rights Day. More than 20 international institutional investors and retail investors from Hong Kong, Macao and Taiwan were invited to visit SZSE and listed companies. They represented institutions including QFIIs, QFII consulting firms, world-leading index developer and professional associations.
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Lucena's QuantDesk Price Forecaster & Portfolio Optimizer Are Now Available On Bloomberg's App Portal - Machine-Learning Software Provides Statistical Validation For Technical, Fundamental And Event Driven Strategies
Date 19/03/2013
Lucena Research, a leading provider of decision support technology for investment professionals, announced today that Bloomberg Professional subscribers can now access its QuantDesk Price Forecaster {APPS QFORE GO} and Portfolio Optimizer {APPS QOPTIM GO} through the Bloomberg App Portal. QuantDesk Price Forecaster helps users find market opportunities through quantitative analysis and statistical forecasting.
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CME Group Announces Open Interest Records In Henry Hub Natural Gas - Natural Gas Financial Futures On CME Globex Trade At Record Volumes
Date 19/03/2013
CME Group, the world's leading and most diverse derivatives marketplace, announced it reached two consecutive records in open interest for its benchmark Henry Hub Natural Gas (NG) futures contract.
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SIFMA Presents Alfred J. Rauschman Award To Loren Schechter
Date 19/03/2013
SIFMA today announced that the Executive Committee of its Compliance & Legal (C&L) Society has presented the Alfred J. Rauschman Award to Loren Schechter, partner in the New York Office at Duane Morris LLP, in recognition of his contributions to the Compliance & Legal community and a career dedicated to the financial services industry.
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ISDA Response To BCBS & IOSCO With Respect To The Second Consultative Document "Margin Requirements For Non-Centrally Cleared Derivatives"
Date 19/03/2013
The International Swaps and Derivatives Association ("ISDA") appreciates the opportunity to respond to the Basel Committee on Banking Supervision ("BCBS") and the International Organization of Securities Commissions ("IOSCO") with respect to the Second Consultative Document "Margin Requirements For Non-Centrally Cleared Derivatives" (the "Paper" or"BCBS 242") of February 2013.
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SIFMA Acting President & CEO Kenneth E. Bentsen, Jr. Remarks At SIFMA's Compliance & Legal Society Annual Seminar
Date 19/03/2013
Thank you Heath for those insightful comments. SIFMA values the close working relationship we have with NASAA and we’re glad you could be with us here today. It is equally an honor to have CFTC Commissioner Scott O’Malia and FINRA CEO Rick Ketchum who we will hear from shortly. Heath, Scott and Rick, your being here adds tremendous value to this conference and our members’ ongoing efforts to build and maintain a strong and compliant market.
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