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Date 22/07/2010
d-cyphaTrade Financial Year 2009/10 Review
FY 2009/10 prices for base load Calendar 2011 products declined for all states. This was due in part to moderate pool prices as a result of additional supply coming on line in QLD (utilising surplus gas), and carbon being priced out of the forward curve with the indefinite delay in the Emissions Trading Scheme.
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Date 22/07/2010
Patsystems Launches ‘XConnect’ As New Asp Hubs Open Across Asia Pacific
Patsystems is pleased to announce its new fully-managed Application Service Provider (ASP) offering, XConnect, as it launches three new ASP hubs across Asia Pacific.
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Date 22/07/2010
TradingScreen Integrates Cash Precious Metals Trading
TradingScreen Inc, the premier provider of multi-broker and multi-asset class execution management systems (EMS) to the Buy Side, announced today the integration of precious metals cash commodities to its financial instrument offering.
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Date 22/07/2010
Tradeweb Europe Ranked No.1 For Fixed Income - Chi-X Ranked No.1 For Equities Trading By Xtrakter Clients
Xtrakter, the premier provider of OTC post trade services and data announced the sixth edition of its league table of execution venues today. This edition tracks the movement of liquidity for both fixed income and equities for Q2 2010. During this period Tradeweb Europe were ranked No.1 for fixed income and Chi-X were ranked No.1 for equities trading.
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Date 21/07/2010
U.S. Federal Reserve Chairman Ben S. Bernanke Semiannual Monetary Policy Report To The Congress Before The Committee On Banking, Housing, And Urban Affairs, U.S. Senate, Washington, D.C.
Chairman Dodd, Senator Shelby, and members of the Committee, I am pleased to present the Federal Reserve's semiannual Monetary Policy Report to the Congress.
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Date 21/07/2010
Speech By SEC Commissioner Kathleen L. Casey: Statement At SEC Open Meeting — Mutual Fund Distribution Fees (Rule 12b-1 Fees)
I’d like to join the Chairman in thanking the Staff of the Division of Investment Management for its work in developing this Proposing Release, as well as all the other Divisions that participated in the process.
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Date 21/07/2010
Susan Axelrod Named FINRA Executive Vice President, Sales Practice - Axelrod Succeeds Retiring Robert Errico, Appointment Effective Immediately
The Financial Industry Regulatory Authority (FINRA) today announced the appointment of Susan F. Axelrod as Executive Vice President and head of the organization's Member Regulation Sales Practice area. Axelrod, whose new position is effective immediately, succeeds Robert C. Errico, who retired last month.
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Date 21/07/2010
Speech By SEC Commissioner Elisse B. Walter: Opening Statement At SEC Open Meeting — Mutual Fund Distribution Fees (Rule 12b-1 Fees)
I too would like to thank the staff, and especially the Division of Investment Management, Buddy Donohue, Bob Plaze, Hunter Jones, Diane Blizzard, Thoreau Bartmann, and Daniel Chang, for their hard work on the recommendations before us today. 12b-1 fees have raised thorny issues for many years, and the staff has labored long, and well, to address them. I am glad that we are here today with a proposal before us. I support the staff's recommendations, and believe they take a thoughtful approach to
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Date 21/07/2010
Speech By SEC Commissioner Troy A. Paredes: Statement At Open Meeting To Adopt Amendments Regarding Part 2 Of Form ADV
Thank you, Chairman Schapiro. I support the recommendation to amend Part 2 of Form ADV and want to speak to just one topic. As the release explains, the Commission received a number of comments on the means by which an adviser is permitted to deliver its updated brochure to investors annually. Under the Form, electronic delivery is to be in accordance with the Commission's 1996 electronic delivery guidelines.
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Date 21/07/2010
Speech By SEC Chairman Mary L. Schapiro: Opening Statement At The SEC Open Meeting—Form ADV Amendments
Next, we will consider adopting amendments to Form ADV, Part 2. This is the principal disclosure document that investment advisers, who are registered with the SEC, must provide to clients and prospective clients. Commonly referred to as the 'brochure' this document explains the advisers' qualifications, investment strategies, and business practices.
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