Search Results for: U.S. Securities and Exchange Commission

Case closed in favor of INTL FCStone in Sentinel case

August 22nd, 2014 (0)
INTL FCStone Inc. (Nasdaq:INTL) (“the Company”) announced on March 19, 2014 that the U.S. Court of Appeals for the Seventh Circuit had reversed the trial court’s January 2013 decision against its subsidiary, FCStone, LLC, in the Sentinel matter. Because ...

New rule will soon be adopted for audit

August 14th, 2014 (0)
A new rule that will require accounting firms to disclose the names of individual partners who work on company audits could be adopted as soon as September, the top U.S. audit watchdog said Wednesday. The rule proposed by the ...

Former CEO of ConvergEx Subsidiary faces SEC’s charges

August 8th, 2014 (0)
The Securities and Exchange Commission (SEC) has appointed charges to the former chief executive officer of a broker-dealer subsidiary of ConvergEx Group LLC for deceiving brokerage customers with hidden fees to buy and sell securities. SEC claims that the ...

Argentina to investigate holdouts’ investments

August 5th, 2014 (0)
Argentina’s markets watchdog on Monday launched an investigation into what it believes may have been unlawful speculation by holdout creditors whose litigation against the country for repayment of their defaulted bonds pushed it into a new default last week. ...

SEC Obtains Nearly $70 Million Judgment Against Richmond, Va.

August 4th, 2014 (0)
The Securities and Exchange Commission has announced that it has obtained a final judgment in federal court in Tennessee requiring a Richmond, Va.-based financial services holding company, a subsidiary brokerage firm, and their CEO to pay nearly $70 million ...

SEC Seeks $1.41 Billion from Wyly Brothers For Fraud

August 4th, 2014 (0)
The Securities and Exchange Commission is seeking damages totaling $1.41 billion from Texas tycoon Sam Wyly and the estate of his late brother Charles for their role in a plan to conceal trades in companies they controlled by using ...

CFTC Says Flexibility essential to Oversee Cross-Border Swaps

July 31st, 2014 (0)
U.S. regulators need flexibility in overseeing cross-border swaps, a lawyer for the Commodity Futures Trading Commission told a federal judge as he defended the agency’s reliance on guidance rather than formal rules in a lawsuit brought by Wall Street’s ...

SEC set to end $1 a share for some money funds

July 23rd, 2014 (0)
Regulators are expected to vote Wednesday to end a longtime staple of the investment industry — the fixed $1 share price for money-market mutual funds — at least for some money funds used by big investors. The idea is ...

Alibaba’s Behemoth IPO Making Few Ripples in Washington

July 11th, 2014 (0)
Alibaba Group Holding Ltd. (BABA)’s proposal for what could be the largest initial stock offering in U.S. history is sailing through Washington with few bumps. While a federal commission has warned that the offering by the world’s biggest Internet ...

U.A.E. Bank Rules, EU Bank Legal Fees, Tibor: Compliance

July 8th, 2014 (0)
The United Arab Emirates may amend rules governing bank lending against shares after reviewing June’s stock price swings in Dubai and Abu Dhabi, the market regulator said yesterday. Representatives of the Securities and Commodities Authority, the central bank and ...
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