FTSE Mondo Visione Exchanges Index:
News Centre
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Preparing For The Consolidated Tape Provider For Bonds - ESMA Clarifies Some Aspects
Date 02/04/2025
The European Securities and Markets Authority (ESMA), the EU’s financial markets regulator and supervisor, is encouraging all market participants to prepare for the start of the activities of the Consolidated Tape Provider (CTP) for bonds.
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Update On Responsible Sourcing Transparency For LME Listed Brands
Date 02/04/2025
This notice provides an update on the next phase of transparency for the LME’s responsible sourcing programme.
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Strong Greek Presence At The Wood’s EME NYC Conference In New York | April 3–4, 2025
Date 02/04/2025
The Athens Stock Exchange is participating as a sponsor in the leading investment roadshow Wood’s EME NYC Conference, taking place on April 3–4, 2025, in New York City. This year marks the largest-ever Greek participation, underscoring the growing interest of the international investment community in the Greek market.
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IOSCO Issues Final Report On Standards Implementation Monitoring For Regulator Principles
Date 02/04/2025
IOSCO publishes a Final Report following its review of IOSCO Standards Implementation Monitoring (ISIM) for Regulator Principles 6 and 7 which address systemic risk and perimeter of regulation.
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LiVEx Investor Day 2025 Unlocks Growth Opportunities For Business In High Growth Sectors
Date 02/04/2025
Key points
- LiVEx Investor Day 2025 establishes a premier business pitching platform connecting SMEs and startups with potential investors.
- The event features exhibition space allowing investors to meet promising SMEs and startups, especially those in new S-curve industries, creating partnership opportunities that power both their growth and Thailand's economic leap forward.
- Taking place on April 2, 2025 at the Carlton Hotel Bangkok Sukhumvit, the event brings together 34 selected companies and over 300 participants.
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UK Prudential Regulation Authority Takes Action Against A Former Notified Non-Executive Director Of Wyelands Bank Plc For Breaches Of The PRA’s Individual Conduct Rule 2
Date 02/04/2025
The Prudential Regulation Authority (PRA) has fined Mr George Jay Hambro, a former notified non-executive director (Notified NED) of Wyelands Bank Plc (Wyelands), £72,000 for breaching PRA Individual Conduct Rule 2 in relation to three matters. This rule states that ‘You must act with due skill, care and diligence.’
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Decision By The Nasdaq Stockholm Disciplinary Committee Regarding Bio Vitos Pharma AB
Date 02/04/2025
The Disciplinary Committee of Nasdaq Stockholm (the “Exchange”) has dismissed a disciplinary case concerning Bio Vitos Pharma AB ("the Company").
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Trustfull Launches Login Solution To Combat $13 Bn Account Takeover Problem
Date 02/04/2025
Trustfull, a leader in identity intelligence for fraud prevention, today announced the launch of Login Solution, which analyses hundreds of behavioural and device-related signals to combat surging account takeover (ATO) fraud.
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Athena, Part Of United Fintech, Strengthens North American Expansion With Key Senior Hire
Date 02/04/2025
Athena , a premier provider of Order Management System (OMS) and Portfolio Management System (PMS) solutions, part of United Fintech, has appointed Scott Loughran as Head of Client Engagement, North America. This strategic hire marks a significant milestone in Athena’s expansion into North America, reinforcing its commitment to delivering best-in-class service, seamless implementations, and innovative solutions to its growing client base of hedge funds and asset managers in the region.
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Finema Becomes A GLEIF Qualified vLEI Issuer, Easing Cross-Border Trade And Finance For SMEs
Date 02/04/2025
The Global Legal Entity Identifier Foundation (GLEIF) today announces Finema – a provider of digital identity solutions headquartered in Bangkok – as the first Southeast Asia-based Qualified vLEI Issuer (QVI) within the verifiable Legal Entity Identifier (vLEI) ecosystem.