Search Results for: Vest Financial
FSMA-Suspensions of trading in a financial instrument
November 5th, 2014
The Financial Services and Markets Authority (FSMA) has issued an announcement informing investors of the suspension of trading in MDX Health on Euronext Brussels from 5/11/2014 at 09:00 AM until further update from the regulator. Source: FSMA- Suspensions of trading in a ...
DIFC Investments prices $700 million Sukuk
November 5th, 2014
Ahead of the Sukuk issuance, DIFCI was assigned a BBB- issuer credit rating by S&P. Shortly after receiving its credit rating, DIFCI undertook an extensive marketing strategy covering Abu Dhabi, Dubai, Hong Kong, Singapore, and London. The main aim ...
FMA: New regulations approved to deliver a new era in financial markets
November 5th, 2014
The Financial Markets Authority (FMA) welcomes today’s announcement from Commerce and Consumer Affairs Minister Paul Goldsmith, confirming the approval of the phase two regulations of the Financial Markets Conduct Act. The regulations come into effect on 1 December 2014. ...
SEC and FINRA Warn Investors About Penny Stock Scams
October 31st, 2014
The Securities and Exchange Commission’s Office of Investor Education and Advocacy and the Financial Industry Regulatory Authority (FINRA) issued an alert warning investors that some penny stocks being aggressively promoted as great investment opportunities may in fact be stocks ...
Hackers Probing the Financial System Show Reason to Worry
October 31st, 2014
Hackers are testing the financial system’s cyber defenses, and they can boast of some alarming success. Let’s start with what we know. JPMorgan Chase & Co. says a breach of its computer systems exposed the personal information of 76 ...
SEC charges investment advisory firm and top officials for custody rule violations
October 30th, 2014
The Securities and Exchange Commission (SEC) announced charges against an investment advisory firm and three top officials for violating the “custody rule” that requires firms to follow certain procedures when they control or have access to client money or ...
CFTC charges Texas-Based Financial Robotics, Inc. for Fraudulent Forex Scheme
October 27th, 2014
The U.S. Commodity Futures Trading Commission (CFTC) today announced that Judge Lee H. Rosenthal of the U.S. District Court for the Southern District of Texas entered an Order of default judgment and permanent injunction against Defendant Financial Robotics, Inc. ...
CySec: acquisition of CIF (Cyprus Investment Firms) licence
October 27th, 2014
The Cyprus Securities and Exchange Commission (CySec) the Cypriot financial regulatory authority, has announced that “Skanestas Investments Ltd” has successfully obtained the CySec licence for CIF (Cyprus Investment Firms). The firm is now authorised to operate legally under the supervision ...
Twenty-four European banks fail financial stress tests
October 27th, 2014
One in five European banks have failed crucial tests of their financial strength, leaving a €25bn (£19.6bn) capital hole in the continent’s banking system at a time of renewed fears that the five-year long eurozone crisis may be flaring ...
AMF warns investors against the activities of CAC Invest
October 24th, 2014
The AMF has issued a warning to draw public’s attention to the activities of CAC Invest, noting in particular that the company is not authorized to provide investment services on French territory. CAC Invest, www.cac-invest.com, presents itself as a ...