Search Results for: SEC
Big U.S. investors push SEC for oil industry to detail risks of climate change
April 17th, 2015
Calpers, the largest American public pension fund, and nearly 60 other institutional investors will ask the U.S. Securities and Exchange Commission on Friday to require oil and natural gas companies to publish detailed analysis of the risks posed by climate change to ...
Clifford Chance advises on GF Securities (Hong Kong)’ IPO
April 15th, 2015
International law firm Clifford Chance has advised a group of 26 underwriters, led by GF Securities (Hong Kong), Goldman Sachs, Morgan Stanley, BOCOM International Securities, Deutsche Bank and Merrill Lynch on GF Securities’ HK$28 billion (US$3.5 billion) listing on ...
CySec: Granting trading benefits to clients
April 9th, 2015
Following Circular with number CI144-2014-02 in relation to the above subject, the Cyprus Securities and Exchange Commission (the “CySEC”) wishes to inform the Cyprus Investment Firms (‘CIFs’) about the following: It has been observed that CIFs are granting trading ...
VAT contributions from EU countries – UK contributes the second highest
April 8th, 2015
Value Added Tax (VAT) is a major source of funds for EU Budget. Uk group Business for Britain has released a research Business for Britain Research showing that UK is the second-highest contributor to the EU budget regarding VAT contribution ...
CySec: Withdraw of CIF authorisation
April 6th, 2015
The Cyprus Securities and Exchange Commission (CySec) the Cypriot financial regulatory authority, has issued an announcement informing that: On its meeting of 16 March 2015, has decided, pursuant, of section 25(1)(b) and 26(4)(b) of the Investment Services and Activities ...
SGX sees volume growth in both securities and derivatives markets in March
April 6th, 2015
Singapore Exchange (SGX) saw strong growth in trading volumes and market activities across securities and derivatives, and a 30% increase in bond listings. There were 22 trading days in March 2015 as compared with 18 days in February 2015 ...
Bank of Russia: Information notice on refusal to issue licences of professional participants of securities market
April 6th, 2015
On 3 April 2015, the Bank of Russia took a decision to refuse to issue licences of a professional participant of the securities market to carry out broker, dealer and depositary activities and securities management to Brokerskiy Dom Faktoriya, limited liability company, the city of Kostroma (TIN 4401144977). Source: Bank of Russia/Press ...
Joint Open Access Letter to the European Securities and Markets Authority
April 2nd, 2015
A letter has been sent to Steven Maijoor, Chair of the European Securities and Markets Authority, regarding open access provisions within the MiFID II Regulatory Technical Standards, co-signed by Michael Spencer, chief executive of ICAP, Xavier Rolet, chief executive ...
SEC Announces Fraud Charges Against Investment Adviser Accused of Concealing Poor Performance of Fund Assets From Investors
March 31st, 2015
The Securities and Exchange Commission today announced fraud charges against an investment adviser and her New York-based firms accused of hiding the poor performance of loan assets in three collateralized loan obligation (CLO) funds they manage. The SEC’s Enforcement ...
CySec informs for acquisition of CIF (Cyprus Investment Firms) licence
March 30th, 2015
The Cyprus Securities and Exchange Commission (CySec) the Cypriot financial regulatory authority, has announced that “M.G.T.M. Financial Services Ltd“ has successfully obtained the CySec licence for CIF (Cyprus Investment Firms). The firm is now authorised to operate legally under ...