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SIFMA, ISDA, ABA, BPI And FIA Comment On Proposed Standardized Approach For Calculating Exposure Amount Of Derivative Contracts
Date 18/03/2019
The International Swaps and Derivatives Association, Inc. (ISDA), the Securities Industry and Financial Markets Association (SIFMA), the American Bankers Association (ABA), the Bank Policy Institute (BPI), and the Futures Industry Association (FIA) today submitted comments regarding the proposed rule issued by the Board of Governors of the Federal Reserve System, the Federal Deposit Insurance Corporation, and the Office of the Comptroller of the Currency to implement the standardized approach for counterparty credit risk (SA-CCR) as a replacement for the current exposure method (CEM) in the US capital rules.
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Keynote Remarks: ICI Mutual Funds And Investment Management Conference, SEC Commissioner Elad L. Roisman, San Diego, CA, March 18, 2019
Date 18/03/2019
I. Introduction
Thank you, Susan [Olson], for the kind introduction. I am excited to join you here and deliver my first formal speech as a Commissioner. It has been a little over six months since I started in my new role at the Securities and Exchange Commission (“SEC”), and I can still say that it’s a very surreal feeling. Not a day goes by when I do not think about how incredible an honor it is to serve the investing public. My path to this job has not been linear. But my experiences along the way—working in private practice as an attorney, at the parent public company of a large stock exchange, in the role of counsel to an SEC Commissioner, and on the staff of the Banking Committee in the U.S. Senate—have given me a broad view of the markets that the SEC regulates and a deep commitment to the agency’s mission. I mean this, truly: it is a privilege to be serving in my role.
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B3: Ibovespa Breaks New Record And Reaches 99.993 Points
Date 18/03/2019
B3’s market performance index – Ibovespa – hit a record high today ending the day at 99.993 points, up 0.86% from last trading session.
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SIFMA AMG And MFA Comments Seek Risk-Sensitive Calculations Of Cleared Derivatives Exposures
Date 18/03/2019
SIFMA Asset Management Group (SIFMA AMG) and Managed Funds Association (MFA) today submitted comments to several prudential regulators designed to ensure accessible and affordable central clearing of derivatives for asset managers, investment funds, and institutional investors. The Associations’ comment letter responds to the proposed rule issued by the Board of Governors of the Federal Reserve System, the Federal Deposit Insurance Corporation, and the Office of the Comptroller of the Currency to implement the standardized approach for counterparty credit risk (SA-CCR) as a replacement for the current exposure method in the U.S. capital rules. Among other comments, the Associations urged regulators to adjust the Supplementary Leverage Ratio (SLR) to recognize the exposure-reducing nature of client initial margin.
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SEC: Justin C. Jeffries Named Associate Regional Director For Enforcement In Atlanta Office
Date 18/03/2019
The Securities and Exchange Commission today announced that Justin C. Jeffries has been named the Associate Regional Director for enforcement in the Atlanta Regional Office.
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Canadian Securities Regulators Mark Fraud Prevention Month With Wide Range Of Activities
Date 18/03/2019
The Canadian Securities Administrators (CSA) is encouraging investors to research investment opportunities and educate themselves about the red flags of fraud during Fraud Prevention Month this March. CSA members across the country are highlighting the importance of Canadians’ understanding of investments, checking registration through the CSA’s National Registration Search and being aware of the warning signs of fraud before they invest their hard-earned money.
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Keynote Address: ICI Mutual Funds And Investment Management Conference, Dalia Blass, Director, SEC Division Of Investment Management, San Diego, CA, March 18, 2019
Date 18/03/2019
Introduction
Good morning. Thank you, Susan [Olson], and thank you for inviting me here to San Diego. This is my second year attending this conference as Director of the Division of Investment Management, and I have been looking forward to speaking with all of you again. I also have the pleasure of speaking on the same day as Commissioner Roisman, who is delivering keynote remarks after lunch. The Commissioner has spent many years immersed in securities law and policy, and I have greatly appreciated getting to know him both during his years on the staff and as a Commissioner.
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MiFID II: ESMA Publishes Results Of The Annual Transparency Calculations Of The Large In Scale (LIS) And Size Specific To The Instruments (SSTI) Thresholds For Bonds
Date 18/03/2019
The European Securities and Markets Authority (ESMA) has today made available the results of the annual transparency calculations of the large in scale (LIS) and size specific to the instruments (SSTI) thresholds for bonds.
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Successful Start For Eurex’s ESG Segment
Date 18/03/2019
Four weeks ago, Eurex started its Environment Social Governance (ESG) segment by launching futures on STOXX® ESG-X, Low Carbon and Climate Impact Indexes. With more than 18,000 traded contracts and more than 16,000 contracts in Open Interest, demand was strong, given that the products are just celebrating their one-month anniversary.
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Changes To The Responsibilities Of The Chairman And The CEO Of BME - To Be Submitted To The General Shareholders Meeting
Date 18/03/2019
- Antonio Zoido drops his executive powers in BME, as planned since 2017, and remains as Chairman of the Board
- Javier Hernani to become the Company’s top executive as of April 25th
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