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  • SEC: Muni Advisors Acted Deceptively With California School Districts

    Date 13/06/2016

    The Securities and Exchange Commission today announced that two California-based municipal advisory firms and their executives have agreed to settle charges that they used deceptive practices when soliciting the business of five California school districts.

  • EBA Publishes Final Draft Technical Standards On Specialised Lending Exposures

    Date 13/06/2016

    The European Banking Authority (EBA) published today its final draft Regulatory Technical Standards (RTS) specifying how institutions should take into account and treat several factors when assigning risk weights to specialised lending exposures. The purpose of these RTS is to harmonise the assignment of risk weights to specialised lending exposures for institutions that apply the so called ‘supervisory slotting criteria' approach. These final draft RTS will be part of the Single Rulebook aimed at enhancing regulatory harmonisation in the banking sector in Europe.

  • Verena Ross, ESMA Executive Director, Speaks At European Parliament’s Public Hearing On Securitisation

    Date 13/06/2016

    Verena Ross, Executive Director of the European Securities and Markets Authority (ESMA), today gave a statement to the European Parliament’s Economic and Monetary Affairs Committee (ECON) at its Public Hearing on Securitisation.

  • FINRA Announces CEO Transition - Taps Former SEC Director Of The Division Of Trading And Markets

    Date 13/06/2016

    The Financial Industry Regulatory Authority (FINRA) today announced that its Board of Governors has concluded the CEO search, and appointed Robert W. Cook as President and Chief Executive Officer, effective the second half of 2016. Mr. Cook will succeed Richard G. Ketchum, who has served as Chairman and CEO since 2009. The Board intends to name a new Chairman in the coming months.

  • SIFMA Statement On ‎FINRA CEO Transition

    Date 13/06/2016

    SIFMA today issued the following statement on the Financial Industry Regulatory Authority’s (FINRA) announcement that its Board of Governors has appointed Robert W. Cook as president and CEO, effective the second half of 2016: