FTSE Mondo Visione Exchanges Index:
News Centre
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Monetary Authority Of Singapore And Bank Of Thailand Sign Memorandum Of Understanding On Cybersecurity Cooperation And Digital Fraud Protection
Date 24/07/2026
The Monetary Authority of Singapore (MAS) and the Bank of Thailand (BOT) signed a Memorandum of Understanding (MoU) on Cybersecurity Cooperation and Digital Fraud Protection. The MoU formalises and expands the ongoing collaboration between MAS and BOT to strengthen cyber resilience and combat digital fraud across their respective financial sectors.
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Shanghai Stock Exchange Revises The Guideline On Major Categories Of Underlying Assets For Asset-Backed Securities To Propel High-Quality Bond Market Development
Date 24/07/2026
To provide greater predictability for market entities and push forward high-quality business development, the Shanghai Stock Exchange (SSE) revised and released the Guideline No. 2 for the Confirmation of Shanghai Stock Exchange Asset-Backed Securities Listing Condition - Major Categories of Underlying Assets (2026 Revision) (hereinafter referred to Guideline No. 2) on July 24. Guided by the China Securities Regulatory Commission (CSRC), the revision represents a concrete step by the SSE in establishing a more open, transparent, and predictable institutional framework for asset securitization products and in further building up the bond market's capacity to serve the real economy.
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Circular On Releasing The Contract Specifications Of Hot Rolled Coils Options And Stainless Steel Options Of The Shanghai Futures Exchange
Date 24/07/2026
The Shanghai Futures Exchange (SHFE) hereby releases the Contract Specifications of Hot Rolled Coils Options and Stainless Steel Options, which have been approved by its Board of Directors and reported to the China Securities Regulatory Commission.
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New Zealand Financial Markets Authority: Chance Voight Companies Placed In Liquidation
Date 24/07/2026
Six Chance Voight companies have been placed into liquidation by the High Court after it found the Rangiora-based Chance Voight Group was insolvent and operating an unsustainable business model.
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CFTC Extends Public Comment Period On Proposed Rule On The Extension Of Standard Futures Contracts To 24/7 Trading And On Perpetual Contracts Referencing Physically Delivered Or Storable Energy Commodities
Date 23/07/2026
The Commodity Futures Trading Commission is extending the deadline for public comment on two related developments in the energy derivatives markets: the extension of standard futures contracts to 24/7 trading and the potential listing of energy commodity perpetual contracts. Based on requests by commenters and the addition of several questions to the request, the deadline is being extended by 30 days to August 26, 2026.
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For Examiner Eyes Only: The Safest Ways For Financial Institutions To Share Sensitive Information
Date 23/07/2026
Regulators require banks and other financial institutions to share certain sensitive information as part of the examination process. This information can include roadmaps to the institution’s cybersecurity defenses, CEO succession plans and M&A proposals. Given the sensitivity of such data and the rise in sophisticated cyber threats, it’s critical that financial firms can keep their information secure — including when examiners need to access it. Granular details of such data are often extraneous to the mandate of examiners, who are meant to focus on material risks to the bank, such as interest rate risk. A new joint paper by a coalition of financial trade associations 1 recommends best practices for sharing access to sensitive information in the supervisory process.
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Chairman Selig Announces Agenda For July 29 Agricultural Advisory Committee Meeting In Washington
Date 23/07/2026
Chairman Michael S. Selig, sponsor of the Agricultural Advisory Committee (AAC), today released the agenda for the AAC’s first meeting of 2026 taking place at 1:00 PM EST on July 29, 2026, at CFTC Headquarters, Three Lafayette Centre, 1155 21st Street, NW, Washington, DC.
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Canadian Securities Administrators Proposes To Codify Higher Limits For Listed Issuer Financing Exemption After Strong Uptake
Date 23/07/2026
The Canadian Securities Administrators (CSA) is seeking to codify increases to the amount of funds that qualified listed issuers can raise without a prospectus, as the initiative continues to demonstrate strong uptake and effectiveness in supporting capital-raising in Canada while maintaining investor protection.
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Ontario Securities Commission Announces Allegations Against Craig Dunkerley (BG Wealth Group)
Date 23/07/2026
Today, the Ontario Securities Commission (OSC) announced allegations against Craig Dunkerley and several related entities that were also part of BG Wealth Group. The OSC alleges fraud and breaches of an OSC temporary cease trade order (TCTO).
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SEC Announces Roundtable On Preparations For 24-Hour Trading
Date 23/07/2026
The Securities and Exchange Commission announced today that it will host a roundtable on Sept. 17, 2026, to discuss moving towards 24-hour trading in the U.S. equity markets, including preparations to support overnight trading, operations and resiliency in a 24-hour market, and opportunities and challenges for expansion.