FTSE Mondo Visione Exchanges Index:
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HKMEx Signs MOU With Maike Metals - Leading Metals Trader Becomes Latest Industry Associate, To Support Upcoming HKMEx RMB Copper Contract
Date 11/10/2012
The Hong Kong Mercantile Exchange (HKMEx), China’s global marketplace, today signed a memorandum of understanding (MOU) with Maike Metals International Limited, one of the largest base metals traders in China, to promote China’s base metals trading sector to international market participants.
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Direct Line Insurance Group Plc Raises £787m In London's Largest UK Capital-Raising Of 2012 - Group valued at £2.6bn - Paul Geddes, CEO, Direct Line Group Opens Trading On London Stock Exchange
Date 11/10/2012
London Stock Exchange today welcomed Direct Line Insurance Group plc ("Direct Line Group" or "The Group") to open its UK markets, marking the start of conditional dealings in its shares ahead of its admission on 16 October.
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Federal Reserve Vice Chair Janet L. Yellen At The Institute Of International Finance Annual Membership Meeting, Tokyo, Japan, Japan In The Global Economy II
Date 11/10/2012
I greatly appreciate the invitation from the Institute of International Finance to participate in this session on Japan's role in the global economy. Today, I will offer some reflections on factors holding back the recovery in advanced economies, the contribution that emerging Asia can make in boosting global growth, and the challenges facing Japan.
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Meeting Of The Financial Stability Board In Tokyo On 10-11 October
Date 11/10/2012
At its meeting in Tokyo, the Financial Stability Board (FSB) discussed vulnerabilities currentlyaffecting the global financial system and the progress in authorities’ ongoing work to strengthen global financial regulation. The meeting reviewed a number of reports to bepublished in the coming weeks.
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Hong Kong's Securities And Futures Commission Bans Former Bank Employee For Forgery
Date 11/10/2012
The Securities and Futures Commission (SFC) has banned Ms Chu Lai Sze, a former employee of Dah Sing Bank, Limited, from re-entering the industry for three years from 11 October 2012 to 10 October 2015.
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Intercontinentalexchange Receives 4D(A) Order From The CFTC- Cross Margin Benefits Continue Across Energy Contracts While Customers Benefit From Segregated Accounts
Date 11/10/2012
IntercontinentalExchange (NYSE: ICE), a leading operator of global regulated futures exchanges, clearing houses and over-the-counter (OTC) markets, today announced that the CFTC has approved ICE Clear Europe's request to allow the clearing house and its clearing members to hold both U.S. energy futures and foreign energy futures in the 4d(a) account for U.S. customers. The 4d(a) Order allows ICE to continue offering portfolio margining offsets for its energy customers, but with enhanced account segregation benefits.
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Federal Reserve Governor Daniel K. Tarullo At The Distinguised Jurist Lecture, University Of Pennsylvania Law School, Philadelphia, Pennsylvania, Financial Stability Regulation
Date 10/10/2012
As one would expect of a piece of legislation that has sixteen titles and runs 849 pages in the Statutes at Large, the Dodd-Frank Wall Street Reform and Consumer Protection Act ranges widely in addressing problems both directly and indirectly associated with the financial crisis. Taken as a whole, though, the primary aim of those 849 pages can fairly be read as a reorientation of financial regulation towards safeguarding "financial stability" through the containment of "systemic risk," phrases that both recur dozens of times throughout the statute. The law, explicitly in many provisions and implicitly in many others, directs the bank regulatory agencies to broaden their focus beyond the soundness of individual banking institutions, and the market regulatory agencies to move beyond their traditional focus on transaction-based investor protection.
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Speech By ESMA Chair, Steven Maijoor, At The BVI Asset Management Conference
Date 10/10/2012
This conference took place in Frankfurt on 9 October 2012. To view the speech, please click here.
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The New Era Of Swaps Market Reform - Keynote Address Before The George Washington University Center For Law, Economics And Finance Conference By CFTC Chairman Gary Gensler
Date 10/10/2012
Good afternoon. Dean Berman I appreciate that kind introduction. I thank the George Washington University Center for Law, Economics and Finance for the invitation to speak today. I look forward to talking with you about the importance of this week.
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ESMA Publishes An Update Of The Q&A On Short Selling Regulation
Date 10/10/2012
The European Securities and Markets Authority (ESMA) has updated the Q&A on the Implementation of the Regulation on short selling and certain aspects of credit default swaps.
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