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Japan Securities And Exchange Surveillance Commission Latest Topics No.107 <October 2025>
Date 30/10/2025
What’s New on the SESC Website
This page contains the latest in events, developments, and updates to the SESC website.
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Bursa Malaysia’s 3Q2025 Profit Before Tax Rises 13.5% From The Preceding Quarter To RM86.3 Million, On The Back Of Higher ADV For Securities Market
Date 30/10/2025
Bursa Malaysia Berhad (“Bursa Malaysia” or the “Exchange”) posted RM86.3 million Profit Before Tax (“PBT”) for the third quarter ended 30 September 2025 (“3Q2025”), driven by a 13.1% rise in Securities Market ADV for On-Market Trades to RM2.6 billion in 3Q2025, from RM2.3 billion for the second quarter ended 30 June 2025 (“2Q2025”).
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Monetary Authority Of Singapore Appoints New Assistant Managing Director For Its Organisation And People Development Group
Date 30/10/2025
The Monetary Authority of Singapore (MAS) announced today the appointment of Ms Phua Wee Ling as Assistant Managing Director (Organisation and People Development). The appointment takes effect on 1 January 2026.
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Statement Regarding Phase-In Termination Date For The De Minimis Exception To The Security-Based Swap Dealer Definition, Paul S. Atkins, SEC Chairman
Date 29/10/2025
Security-based swap dealers (SBSDs) are required to register with the Commission and become subject to Commission regulations for SBSDs if they exceed a de minimis amount of security-based swap (SBS) dealing activity over the course of the immediately preceding 12 months. The de minimis exception is currently subject to a phase-in period, during which the de minimis thresholds for two categories of security-based swaps have been temporarily set at higher levels.
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Canadian Investment Regulatory Organization Issues Update On Proposed Incorporated Advisor Rule Amendments
Date 29/10/2025
The Canadian Investment Regulatory Organization (CIRO) issued an update today on the project to develop rule amendments relating to the proposed adoption of an incorporated advisor compensation option.
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Federal Reserve Issues FOMC Statement
Date 29/10/2025
Available indicators suggest that economic activity has been expanding at a moderate pace. Job gains have slowed this year, and the unemployment rate has edged up but remained low through August; more recent indicators are consistent with these developments. Inflation has moved up since earlier in the year and remains somewhat elevated.
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UK Financial Conduct Authority: Individual Convicted And Fined For Data Protection Breach
Date 29/10/2025
Taunton-based Luke Coleman, aged 30, has pleaded guilty to unlawfully obtaining and the subsequent disclosure of personal data in breach of the Data Protection Act, following a prosecution by the FCA.
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Ontario Securities Commission SME Institute Announces Webinar On Standards Of Disclosure For Mineral Projects Compliance
Date 29/10/2025
The Ontario Securities Commission (OSC) today announced it will host an educational webinar for small and medium enterprises (SMEs) on the proposed revisions to National Instrument 43-101 Standards of Disclosure for Mineral Projects (NI 43-101), a cornerstone of mineral project disclosure in Canada. The webinar is offered at no cost through the OSC SME Institute which helps small businesses understand and navigate the requirements of being or becoming a public company in Ontario.
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Canadian Securities Administrators Market Update
Date 29/10/2025
The Canadian Securities Administrators (CSA), which has oversight of the Canadian Investment Regulatory Organization (CIRO), acknowledges the publication of CIRO Bulletin # 25-0297 Update on the project to develop rule amendments relating to the proposed adoption of an incorporated advisor compensation option
This link will open in a new window. The bulletin informs market participants about work performed to date on CIRO’s rule amendment project.
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The EBA Publishes Its Final Draft Technical Standards On Criteria To Assess The Materiality Of CVA Risk Exposures Arising From Securities Financing Transactions
Date 29/10/2025
The European Banking Authority (EBA) published today its final draft Regulatory Technical Standards (RTS) to specify the conditions and the criteria to assess whether the credit valuation adjustment (CVA) risk exposures arising from fair-valued securities financing transactions are material, as well as the frequency of that assessment.