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BNP Paribas Securities Services Joins As New CDP Clearing Member
Date 24/12/2012
Singapore Exchange (SGX) today said BNP Paribas Securities Services SCA has joined its securities market as a Clearing Member.
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Circular On Announcing And Implementing The Amendments To “No.1 Soybean Futures Contract Of Dalian Commodity Exchange” And Relevant Implementation Rules
Date 24/12/2012
For the purpose of further reflecting actuals and improving the capability of futures markets to serve real economy, after the examination and agreement of the Council and with the approval of CSRC, Dalian Commodity Exchange makes amendments to “No.1 Soybean Futures Contract of Dalian Commodity Exchange” and “Detailed Delivery Rules of Dalian Commodity Exchange” and adjusts the delivery quality standards and delivery packaging methods of No.1 soybean contract. The amendments are hereby promulgated, and the amended rules shall be implemented from A1403 contract.
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Thai Bourse Welcomes Officemate To Main Board On Dec 26 After A Merger Deal
Date 24/12/2012
The Stock Exchange of Thailand (SET) welcomes Officemate pcl (OFM), currently listed on the SET’s Market for Alternative Investment (mai), to its main board, listing in the Commerce sector and starting trading on December 26, with market capitalization expected to reach THB 10 billion (approx. USD 323 million)
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Dubai Financial Market Market Closure - New Year
Date 23/12/2012
On the occasion of the New Year, the market will be closed starting from Tuesday 01 January 2013 and will resume on Wednesday 02 January 2013.
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MF Global Trustees And Administrators Announce Agreements - MF Global Inc., MF Global UK Ltd. And MF Global Holdings Ltd. Reach Agreements To Resolve All Claims Among The Estates
Date 22/12/2012
James W. Giddens, Trustee for the Securities Investor Protection Act (SIPA) liquidation of MF Global Inc. (MFGI), and Richard Heis, a Joint Administrator of MF Global UK Ltd. (MFGUK), today jointly announced that they have reached an agreement to resolve all claims between the two entities, including the 30.7 client assets and repo to maturity valuation disputes currently before the High Court of England. Mr. Giddens has filed a motion with the United States Bankruptcy Court for the Southern District of New York, the Honorable Judge Martin Glenn presiding, seeking entry of an order approving the agreement.
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CFTC’s Division Of Swap Dealer And Intermediary Oversight Issues No-Action Letter For Certain Persons Required To Register Pursuant To Recent Changes To Commission Regulations
Date 21/12/2012
The Commodity Futures Trading Commission’s (CFTC) Division of Swap Dealer and Intermediary Oversight (DSIO) today issued a letter providing that DSIO will not recommend that the CFTC take enforcement action against certain commodity pool operators (“CPOs”), commodity trading advisors (“CTAs”) or any principal or associated person (“AP”) thereof who will be required to register with the CFTC pursuant to the recent amendment to Commission Regulation 4.5 or the rescission of Commission Regulation 4.13(a)(4).
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SIFMA Statement On CFTC Delay Of Cross-Border Rules
Date 21/12/2012
SIFMA today issued the following statement from Tim Ryan, president and CEO on the CFTC, announcing they will delay cross-border enforcement of certain derivatives rules until July 2013.
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CFTC’s Division Of Swap Dealer And Intermediary Oversight Issues No-Action Letter For Operators Of Investment Pools That Invest In Legacy Securitization Vehicles
Date 21/12/2012
The Commodity Futures Trading Commission’s (CFTC) Division of Swap Dealer and Intermediary Oversight (DSIO) today issued a letter providing that the Division will not recommend that the Commission take enforcement action against the commodity pool operators of investment pools that invest in securitization vehicles that comply with the terms of the no-action relief set forth in the 12-45 letter.
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CFTC’s Division Of Market Oversight Provides Swap Dealers With Swap Data Reporting Relief
Date 21/12/2012
The Division of Market Oversight (DMO) of the Commodity Futures Trading Commission (CFTC) today announced the issuance of a letter providing swap dealers with time-limited no-action relief from certain swap data reporting obligations under Parts 43, 45, and 46 of the Commission’s regulations.
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ISDA Publishes Mid-Year 2012 Market Analysis: Compression Continues To Impact Notional Amounts Outstanding - FRA Clearing Increases Significantly
Date 21/12/2012
The International Swaps and Derivatives Association, Inc. (ISDA) published yesterday its analysis of the over-the-counter (OTC) derivatives market based on June 30, 2012 statistics.
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