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  • CME Group And Dow Jones & Company Launch Joint Venture Of Dow Jones Indexes Business

    Date 18/03/2010

    CME Group Inc. (Nasdaq: CME), the world's leading and most diverse derivatives marketplace, and Dow Jones & Company today announced the launch of the new joint venture company, CME Group Index Services LLC. CME Group has a 90 percent ownership interest and Dow Jones has a 10 percent ownership interest in the new company, which continues to do business as Dow Jones Indexes and includes the Dow Jones Industrial Average as well as approximately 130,000 index properties.

  • SIFMA Supportive Of US Covered Bonds Bill Introduced Today

    Date 18/03/2010

    The Securities Industry and Financial Markets Association’s (SIFMA) U.S. Covered Bonds Council today released the following statement on the introduction of the United States Covered Bond Act by Rep. Scott Garrett, with support from Rep. Paul E. Kanjorski and Financial Services Committee Ranking Member Spencer Bachus as leading cosponsors.  The statement is from Sean Davy, managing director at SIFMA:

  • SEC Warns Firms On Muni Pay-To-Play Rules

    Date 18/03/2010

    The Securities and Exchange Commission today issued a report warning firms that municipal securities rules prohibiting pay-to-play apply to affiliated financial professionals, not just a firm's employees.

  • CalPERS Appoints Tim Legesse Investment Officer For Diversity

    Date 18/03/2010

    The California Public Employees’ Retirement System (CalPERS) has named Tim Legesse its new Investment Officer for Diversity.

  • FINRA Enforcement Chief Susan Merrill Stepping Down - Plans To Return To Private Practice

    Date 18/03/2010

    The Financial Industry Regulatory Authority (FINRA) announced today that Susan Merrill, who has headed Enforcement at FINRA and one of its predecessor organizations for more than five years, is stepping down to return to private practice.