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News Centre
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MIAX Options Exchange - October 1, 2026 Fee Changes
Date 30/09/2026
Effective October 1, 2026, MIAX Options Exchange will amend the Priority Customer Rebate Program ("PCRP"), pending filings with the Securities and Exchange Commission:
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SEC Charges Two Individuals With Orchestrating Fraud Scheme That Targeted Veterans
Date 30/09/2026
The Securities and Exchange Commission today announced charges against Christopher Kenji Dinelli and Jacob David “Kobe” Frankel for allegedly orchestrating a fraud scheme that raised more than $8.7 million from 35 investors through their fund, Beyond Alpha Ventures LLC (BAV), and advisory firm, Beyond Equity LLC.
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CFTC Secures Court Order Directing Louisiana Man And Arkansas Woman To Pay Over $31 Million For Digital Assets, Precious Metals Fraud - Court Separately Enters Consent Orders Against Two Florida Defendants In The Scheme
Date 30/09/2026
The Commodity Futures Trading Commission today announced the U.S. District Court for the Middle District of Florida entered a default judgment against defendants Brian Early and Alisha Ann Kingrey for their participation in a digital assets and precious metals fraud involving the unincorporated Fundsz entity and its website. Entry of the default judgment was preceded by the court’s entry of consent orders against two other defendants for their roles in the scheme: Rachel Larralde, as personal representative of the estate of Rene Larralde, and Juan Pablo Valcarce.
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US Office Of The Comptroller Of The Currency Reports Second Quarter 2026 Bank Trading Revenue
Date 30/09/2026
The Office of the Comptroller of the Currency (OCC) reported cumulative trading revenue of U.S. commercial banks and savings associations of $21.6 billion in the second quarter of 2026. The second quarter trading revenue was $5.3 billion, or 32.5 percent, more than in the previous quarter and $5.1 billion, or 30.6 percent, more than a year earlier.
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ISDA Derivatives Trading And Treasury Forum, London, September 30, 2026, Opening Remarks, Scott O’Malia, ISDA Chief Executive
Date 30/09/2026
Good morning, and welcome to the ISDA Derivatives Trading and Treasury Forum. Thanks for joining us today, and a big thank you to our founding sponsor, CME Group, for supporting this event once again.
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JC3 Journey To Zero Conference 2026 Concludes With Shared Commitment To Translate Climate And Nature Ambition Into Greater Impact - Two-Day Conference Highlights The Importance Of Mobilising Capital, Strengthening Project Bankability And Building Resilience Across The Real Economy
Date 30/09/2026
The Joint Committee on Climate Change (JC3) concluded the JC3 Journey to Zero Conference 2026 on 29 September, bringing together more than 800 participants across the financial sector, government, businesses, investors and academia. The conference reaffirmed the critical role of the financial industry in advancing Malaysia’s sustainable and resilient growth agenda.
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SEC Proposes Amendments To Expand Responsible Retailization Of Private Markets - Commission Seeks Public Comment On Additional Ways To Qualify As An Accredited Investor
Date 30/09/2026
The Securities and Exchange Commission today voted to propose rule amendments that would facilitate capital formation in the public and private markets by expanding retail investor choice and promoting innovation in regulated fund structures while preserving appropriate investor protections and safeguards.
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S&P Global Market Intelligence Data | Top 10 Most Shorted Stocks In The US
Date 30/09/2026
S&P Global Market Intelligence’s Top 10 Most Shorted Stocks in the United States, calculated using our Securities Finance data set, follows.
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New Appointments To UK Financial Conduct Authority Board 2026
Date 30/09/2026
The Economic Secretary to the Treasury has today confirmed that Lea Paterson CBE and Matthew Tobin have been appointed as Non–Executive Directors to the Board of the Financial Conduct Authority (FCA).
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HKEX: Report On Initial Public Offering Applications, Delisting And Suspensions (September 2026)
Date 30/09/2026
This monthly report provides key statistics relating to the various stages in discharging our regulatory oversight duties during the reporting period. The information for the reporting period covers, among others, the number of applications processed and their current status, the number of comment letters and guidance issued to new/ potential new listing applicants and their advisers with the corresponding processing time, the number of rejection and return of listing applications, as well as the number of delisted and suspended companies.