Search Results for: regulators
US T+2 ISC Recommends Move to Shorter Settlement Cycle on September 5, 2017.
March 8th, 2016
The U.S. T+2 Industry Steering Committee (T+2 ISC), organized by The Depository Trust & Clearing Corporation (DTCC) and cochaired by the Securities Industry and Financial Markets Association (SIFMA) and the Investment Company Institute (ICI), announced the industry target date ...
Israeli investment company Utrade’s controlling shareholder Aviv Talmor was arrested
March 7th, 2016
Utrade controlling shareholder Aviv Talmor arrested. Talmor is suspected of fraud, running a Ponzi scheme, money laundering and managing investment portfolios without a license. Israeli investment company Utrade’s controlling shareholder Aviv Talmor was arrested by the Israel Securities Authority ...
The Floor promises to connect Israeli fintech with China, Hong Kong and the rest of Asia
March 3rd, 2016
The new hub will open an R&D center, collaborative workspace and host events that will link Israel’s best in financial technology with investors and partners from Beijing to Singapore Israel is known for its financial and technological prowess. It’s ...
IOSCO Publishes the Securities Markets Risk Outlook 2016
March 3rd, 2016
The International Organization of Securities Commissions (IOSCO) today published the IOSCO Securities Markets Risk Outlook 2016, which identifies and examines key trends in global financial markets and the potential risks to financial stability. The Outlook is a forward-looking report ...
NYSE Owner ICE, CME Group Mulling Bids for LSE
March 2nd, 2016
LSE already in advanced talks with Deutsche Börse about merger Intercontinental Exchange Inc. and CME Group Inc. are considering bids for London Stock Exchange Group PLC, potentially gate-crashing the British company’s proposed merger with Deutsche Börse AG. ICE, the owner of the New York Stock Exchange, said in a statement Tuesday that ...
Tullett Prebon: Update on the proposed acquisition of ICAP’s global hybrid voice broking and information business
March 1st, 2016
Further to the announcement released on 11 November 2015 (the “Announcement”) regarding the proposed acquisition by Tullett Prebon plc (“Tullett Prebon”) of the global hybrid voice broking and information business of ICAP plc (“ICAP”) including ICAP’s associated technology and ...
PRA and FCA statement on compliance with the EBA guidelines on Sound Remuneration Policies
March 1st, 2016
The Prudential Regulation Authority (PRA) and Financial Conduct Authority (FCA) have notified the European Banking Authority (EBA) that the regulators will comply with all aspects of the EBA Guidelines on Sound Remuneration Policies, except for the provision that the ...
CySec announced that a firm obtained the Cyprus Investment Firm license
February 29th, 2016
The Cyprus Securities and Exchange Commission (CySec), the financial regulatory authority of Cyprus, has announced that “Spot Trading S.T. Ltd“ has successfully obtained the CySec licence for CIF (Cyprus Investment Firm). The firm is now authorised to operate legally under the supervision of ...
Banc de Binary Reaches $11 Million Settlement with U.S. Authorities
February 26th, 2016
Company alleged to have illegally signed up U.S. investors to binary options trading platform Banc de Binary Ltd., a financial trading company and a sponsor of Liverpool Football Club, has agreed to an $11 million settlement with U.S. authorities ...
ISDA Publishes Principles for US/EU Trading Platform Recognition
February 26th, 2016
The International Swaps and Derivatives Association, Inc. (ISDA) published a set of principles for achieving comparability determinations between US and European Union (EU) trading platforms. The paper analyzes the regulatory frameworks in the US and EU, with the aim ...