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Speech By SEC Commissioner Elisse B. Walter: "SEC Rulemaking — 'Advancing The Law' To Protect Investors"
Date 02/10/2009
48th Annual Corporate Counsel Institute Northwestern University School of Law Chicago, Illinois October 2, 2009 Thank you, David, for such a kind, and overly generous, introduction. Although I know the folk here at Northwestern call you Professor, you will always be Mr. Chairman to me. For those of you who may not know, Chairman Ruder has an extremely loyal coterie of SEC staffers and ex-staffers who continue to relish hearing his views on all subjects; I'm very pr
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Carter McDowell Joins SIFMA Legal And Advocacy Team
Date 02/10/2009
The Securities Industry and Financial Markets Association (SIFMA) today announced the hiring of Carter McDowell as Managing Director and Associate General Counsel. Mr. McDowell joins SIFMA from the American Bankers Association (ABA).
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Statement Of SEC Commissioner Luis A. Aguilar Regarding His Commitment To Implementation Of Sarbanes-Oxley Section 404(b)
Date 02/10/2009
Today the Securities and Exchange Commission announced another deferral of the obligation of non-accelerated filers to comply with Section 404(b) of the Sarbanes-Oxley Act of 2002.
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Component Changes Made To Dow Jones Select Dividend Indexes
Date 02/10/2009
Dow Jones Indexes, a leading global index provider, today announced component changes in the Dow Jones Global Select Dividend, Dow Jones EPAC Select Dividend, Dow Jones Asia/Pacific Select Dividend 30, Dow Jones Asia Select Dividend 30, Dow Jones Australia Select Dividend 30 and Dow Jones Italy Select Dividend 20 indexes.
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Standard & Poor's Announces Changes In The S&P/TSX Canadian Indices
Date 02/10/2009
Standard & Poor's Canadian Index Operations announces the following index changes: The shareholders of TriStar Oil & Gas Ltd. (TSX:TOG) have approved the plan of arrangement with Petrobank Energy and Resources Ltd. (TSX:PBG) whereby TriStar will be combined with Petrobank's Canadian business unit. The combined entity, called PetroBakken Energy Ltd. (TSX:PBN), will remain in the S&P/TSX Composite and Capped Composite, the S&P/TSX Equity and Capped Equity, the S&P/TSX Completion and Eq
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Statement From FINRA Chairman And CEO Richard G. Ketchum On The Report Of The Special Review Committee Of The FINRA Board Of Governors
Date 02/10/2009
Today's report by a Special Review Committee of the FINRA Board of Governors is one of a number of significant initiatives undertaken by FINRA in the wake of the Madoff and Stanford scandals to better understand and correct shortcomings in our examination program. As regulators, we owe it to investors — especially those harmed by recent scandals — to develop a better, more comprehensive response to fraud, and I am com
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SEC: Small Public Companies To Begin Providing Audited Assessment Of Internal Controls Over Financial Reporting In Nine Months - Final Stage Of Section 404 Of Sarbanes-Oxley To Begin In June
Date 02/10/2009
The Securities and Exchange Commission today announced that the smallest publicly reporting companies will begin complying in nine months with the final portion of a key provision of a 2002 corporate governance law that requires companies to report to the public about the effectiveness of their internal control over financial reporting.
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Direct Edge: Modified Rules To Clearly Erroneous Filings
Date 02/10/2009
Beginning Monday, October 5, 2009, Direct Edge will modify its procedures for requesting a review of clearly erroneous trades to conform to the uniform policy established by other exchanges.
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Progress On Wide Range Of Issues At Informal ECOFIN In Göteborg
Date 02/10/2009
At the informal ECOFIN meeting in Göteborg on 1-2 October, EU finance ministers had useful discussions on a number of topics: fiscal exit strategies, financial stability and supervision, measures against climate change, and the employment situation in Europe.
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Autorité Des Marchés Financiers: Publication Of Instruction On Disclosure Of Dealings And Interests In Securities Concerned By A Public Offer- And Of A Disclosure Table Providing A List Of All Companies Concerned By A Public Offer
Date 02/10/2009
To facilitate implementation of the new set of General Regulation rules on trading in securities involved in a takeover bid1, which come into force on 1 October 2009, the Autorité des marchés financiers is publishing instruction 2009-08 of 22 September 2009 on disclosure of dealings and interests in securities concerned by a public offer. 1Approved by the decree of 10 July 2009, published in the official gazette on 17 July 2009.
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