FTSE Mondo Visione Exchanges Index:
News Centre
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ICE Futures Canada: FCM Customer Margin Changes
Date 15/10/2009
The following initial and maintenance margins apply to non-participant speculative accounts held with FCMs. Non-participants holding hedge based positions may apply for a hedge exemption under Rule 4E.08. The minimum margin level under the hedge exemption is the clearinghouse margin.
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SIFMA’s Bentsen Statement On Committee Passage Of Derivatives Regulation
Date 15/10/2009
The Securities Industry and Financial Markets Association today released a statement from Ken Bentsen, Executive Vice President, Public Policy and Advocacy in response to the House Financial Services Committee’s passage of the Over-the-Counter Derivatives Markets Act of 2009.
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SEC: Barry Walters Named Chief Freedom Of Information Act And Privacy Act Officer
Date 15/10/2009
The Securities and Exchange Commission today announced that Barry Walters has been named Chief Freedom of Information Act and Privacy Act Officer.
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RTS Standard Volume Exceeds USD625 Million
Date 15/10/2009
October 15, 2009 saw a record trading activity on RTS Standard.
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FINRA Announces Two New Members of Board of Governors
Date 15/10/2009
The Financial Industry Regulatory Authority (FINRA) announced today that two new public members have been appointed to its Board of Governors.
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Program Trading Averaged 29.0 Percent Of NYSE Volume During Oct. 5-9
Date 15/10/2009
The New York Stock Exchange, a subsidiary of NYSE Euronext (NYX), today released its weekly program-trading data compiled from member firms’ executed volume from NYSE’s orders database. The report includes trading on the NYSE for Oct. 5-9.
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CFTC Charges Florida Resident And His Panamanian Corporation With Fraud And Misappropriation - At Least $16.4 Million In Customer Funds Solicited By Making False Statements, With More Than $2 Million Misappropriated For Personal Use
Date 15/10/2009
The U.S. Commodity Futures Trading Commission (CFTC) today announced the filing of an enforcement action against Trader’s International Return Network (TIRN), a Panamanian corporation, and its president David Merrick of Apopka, Fla., charging them with solicitation fraud and misappropriation of customer funds involving at least $16.4 million.
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Dual GDS And Convertible Bond Issue For Tata Motors Admitted To Trading On Luxembourg Stock Exchange
Date 15/10/2009
On 15 October 2009, the Luxembourg Stock Exchange admitted to trading a convertible bond issue and an issue of Global Depositary Shares (GDSs) from Tata Motors, India’s largest automobile maker, for a total amount issued of USD 750 million.
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London Stock Exchange: Investment Bank Selects UnaVista For Cash And Stock Reconciliations
Date 15/10/2009
London Stock Exchange announced today that a major investment bank has signed-up to use UnaVista, the Exchange's web-based matching, reconciliation and data integration service.
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CME Group Announces The Launch Of S&P GSCI Crude Oil And Gold Excess Return Index Swaps And Excess Return Forwards
Date 15/10/2009
CME Group, the world's largest and most diverse derivatives marketplace, today announced the launch of cleared over-the-counter (OTC) swaps on the S&P GSCI® Crude Oil Excess Return and the S&P GSCI Gold Excess Return Indices, as well as Forward contracts for the S&P GSCI Excess Return Index, all scheduled to begin trading November 2.
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