Testimony Of Federal Insurance Office Director Michael McRaith Before House...
Chairman Luetkemeyer, Ranking Member Cleaver, Members of the Subcommittee, thank you for inviting me to testify today on the impact of U.S. – EU dialogues on insurance markets. Today’s hearing...
View ArticleBats Welcomes TrimTabs As A New Issuer To The Bats ETF Marketplace - 19...
Bats Global Markets, Inc. (Bats: BATS), the #1 U.S. market for exchange-traded fund (ETF) trading, today welcomed TrimTabs as a new issuer to the Bats ETF Marketplace with the launch of a new fund.read...
View ArticleCanada Pension Plan Investment Board Lists US$2bn Note On The Irish Stock...
CPPIB Capital Inc., the capital markets financing subsidiary of Canada Pension Plan Investment Board, has listed a US$2bn fixed rate note on the Global Exchange Market (GEM) of the Irish Stock Exchange...
View ArticleCFTC Expands Interest Rate Swap Clearing Requirement
The U.S. Commodity Futures Trading Commission (Commission) today expanded the existing clearing requirement for interest rate swaps.
View ArticleStatement of Chairman Timothy Massad on Expanded Interest Rate Swap Clearing...
Statement of Chairman Timothy Massad on Expanded Interest Rate Swap Clearing Requirement Determination and Final Rulemaking
View ArticleBats Welcomes 13th ProShares Fund To The Bats ETF Marketplace - 19 Issuers,...
Bats Global Markets, Inc. (Bats: BATS), the #1 U.S. market for exchange-traded fund (ETF) trading, today welcomed its 13th ProShares product to the Bats ETF Marketplace.read more...
View ArticleCFTC Swaps Report Update
CFTC's Weekly Swaps Report has been updated, and is now available.read more...
View ArticleBahamas International Securities Exchange Q2, 2016 Statistical Report
BISX is pleased to announce its BISX All-Share Index and trading statistics for the six month period ending June 30, 2016 with comparison to the same period of 2015.read more...
View ArticleSEC Charges UBS With Supervisory Failures In Sale of Complex Products To...
The Securities and Exchange Commission today announced that UBS Financial Services has agreed to pay more than $15 million to settle charges that it failed to adequately educate and train its sales...
View ArticleCFTC Expands Interest Rate Swap Clearing Requirement
The U.S. Commodity Futures Trading Commission (Commission) today expanded the existing clearing requirement for interest rate swaps. The Commission voted unanimously to approve an amendment to...
View ArticleSEC Files Insider Trading Charges Against Peruvian Traders Using Overseas...
The Securities and Exchange Commission today charged two lawyers and a brokerage firm manager in Peru with insider trading prior to the merger of two mining companies. The SEC alleges that Nino...
View ArticleStatement Of CFTC Chairman Timothy Massad On Expanded Interest Rate Swap...
Central clearing is one of the great innovations of the financial system. Indeed, increasing the use of central clearing for over-the-counter swaps is one of the most important goals of the 2009 G20...
View ArticleSIFMA Commends SEC Action To Facilitate A Shorter Settlement Cycle
SIFMA today issued the following statement from Kenneth E. Bentsen, Jr., SIFMA president and CEO, after the Securities and Exchange Commission (SEC) voted to propose a rule amendment that will help...
View ArticleSEC Proposes Rule Amendment To Expedite Process For Settling Securities...
The Securities and Exchange Commission today voted to propose a rule amendment to shorten the standard settlement cycle for most broker-dealer securities transactions from three business days after...
View ArticleCalPERS: Cheryl Eason Appointed To Government Finance Officers Association...
Cheryl Eason, California Public Employees' Retirement System (CalPERS) chief financial officer (CFO), has been appointed to the Government Finance Officers Association (GFOA) Committee on Retirement...
View ArticleJane Norberg Named Chief Of SEC Whistleblower Office
The Securities and Exchange Commission today announced that Jane Norberg has been promoted to chief of the SEC’s Office of the Whistleblower. Ms. Norberg joined the SEC in 2012 as the first deputy...
View ArticleCanadian Regulators Release New Results On Women On Boards And In Executive...
The securities regulatory authorities in Manitoba, New Brunswick, Newfoundland and Labrador, Northwest Territories, Nova Scotia, Nunavut, Ontario, Québec, Saskatchewan and Yukon (the participating...
View ArticleWelcome to the new SSRN
Hi there, watch this space to learn more about the new SSRN!read more...
View ArticleUK's Financial Conduct Authority: Former Investment Portfolio Manager Charged...
The Financial Conduct Authority (FCA) has instituted criminal proceedings against Mark Alexander Lyttleton (date of birth 9 June 1971), a former Investment Portfolio Manager at Blackrock Investment...
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