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NYSE Arca Options Reports Latest Penny Pilot Results - NYSE Arca Share Of Trading In Penny Pilot Issues Up Nearly 8% Y-T-D - Quote Mitigation Plan Continues Its Success By Saving 19.5 Million Quotes Daily
Date 28/11/2007
NYSE Euronext’s (NYSE Euronext: NYX) U.S. options trading exchange, NYSE Arca Options, today reported its most recent industry-wide findings in the Securities and Exchange Commission’s (SEC) Penny Pilot program. Including the 22 newly expanded issues, NYSE Arca Options experienced ADV growth of 89% in penny pilot issues from January to October 2007, compared to a 36% increase in trading volume for all equity options.
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CME Group Appoints Lam As Director And Head Of Asian FX Sales
Date 28/11/2007
CME Group, the world's largest and most diverse exchange and the largest regulated marketplace for foreign exchange (FX) trading, today announced that is has expanded its FX team by appointing K.C. Lam as Director and Head of Asian FX Sales. This new position was created to better serve current and prospective Asia-based customers with a dedicated CME Group FX resource and is also part of an exchange-wide effort to build its presence in the region.
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VAT: The European Commission Proposes To Modernise The Current Legislation For Financial Services And Insurances
Date 28/11/2007
(see MEMO/07/519) The European Commission has adopted today a proposal for a Directive aiming at modernising and simplifying the complex VAT rules for financial and insurance services and securing a level playing field in the pan-EU market for these services as far as VAT is concerned. These services are generally exempt f
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Central Japan Commodity Exchange: Error Setting Of The Trading In Oil And Aluminum Markets For January 2008 Contract Month
Date 28/11/2007
The contracts for January 2008 Contract Month in Oil and Aluminum Markets were traded today with the daily price fluctuation limits shown in the below because of the error setting of price fluctuation. (These contracts should have been traded without fluctuation limit.)In accordance with the Article 122 of the Market Administrative Bylaws, the Board Meeting resolved that the above contracts were deemed as traded with the below price fluctuation limits as exceptional treatment only on
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UK’s Financial Services Authority Calls For All Firms To Ensure Their Promotional Websites Are Fair, Clear And Not Misleading
Date 28/11/2007
A Financial Services Authority (FSA) review of advertising on financial firms' websites has found that three-quarters met the standards required. However, the findings, published today, also show that a significant minority of the websites sampled failed to present information in a fair, clear and not misleading way.
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FINRA Fines Wachovia Capital Markets $300,000 For Deficient Disclosures In Research Reports - Wachovia Omitted Numerous Required Conflict Of Interest Disclosures, Used Inadequate Disclaimer Language
Date 28/11/2007
The Financial Industry Regulatory Authority (FINRA) announced today that it has censured and fined Wachovia Capital Markets, LLC $300,000 for violations of FINRA's research analyst conflict of interest disclosure rules.
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NYMEX Sets Daily Volume Record For Metals Futures Contracts
Date 28/11/2007
The New York Mercantile Exchange, Inc., a subsidiary of NYMEX Holdings, Inc. (NYSE: NMX), announced that it set daily volume records yesterday for its gold contract on the CME Globex ® electronic trading platform, overall gold futures, and total metals futures for COMEX.
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Financial Services Authority Encourages Growth Of Islamic Finance In The UK
Date 28/11/2007
The Financial Services Authority (FSA) has today published a paper setting out its role in the development of the UK as the major European financial centre for Islamic financial products and services.
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Disciplinary Committee Of OMX Nordic Exchange Stockholm Fines Carnegie Heavily
Date 28/11/2007
The listed company D. Carnegie & Co AB (Carnegie) and its subsidiary Carnegie Investment Bank AB (the Bank) have contravened the rules applying at OMX Nordic Exchange Stockholm. With respect to the Bank, brokers have manipulated market prices to conceal intentional incorrect valuations previously undertaken within the Bank’s derivative trading portfolio (trading portfolio). Due to this, the Disciplinary Committee has decided to fine the Bank SEK 5 million. The fine that the Bank will have to
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ICE Futures U.S. Announces Christmas And New Years Holiday Trading Schedule
Date 28/11/2007
ICE Futures U.S.(sm), a wholly-owned subsidiary of IntercontinentalExchange (NYSE: ICE), announced today its 2007 Christmas and New Years holiday trading schedules:
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