Search Results for: Financial Industry Regulatory Authority

High-Speed Trading Rules Coming From SEC

June 6th, 2014 (0)
U.S. Securities and Exchange Commission Chair Mary Jo White unveiled the regulator’s most sweeping plan yet for reining in high-frequency trading and monitoring dark pools and other secretive trading practices in the world’s largest equity market. Proprietary traders who ...

EU Market Rules, Logitech Probe, Finra Fines: Compliance

May 23rd, 2014 (0)
Europe’s capital markets are getting a new foundation. The 28-nation European Union’s top markets regulator yesterday made public more than 800 pages of proposed rules that cover everything from high-frequency trading curbs to transparency requirements for bond markets and ...

SEC Charges Three Sales Managers With Insider Trading Ahead of Major Acquisition

May 13th, 2014 (0)
The U.S. Securities and Exchange Commission has charged three former sales managers at San Diego-based Qualcomm Inc. with insider trading ahead of a major acquisition announcement. The SEC alleges that Derek Cohen, Robert Herman, and Michael Fleischli learned through ...

SEC Charges Six Individuals With Insider Trading in Stock of E-Commerce Company Prior to Acquisition by eBay

April 28th, 2014 (0)
The U.S. Securities and Exchange Commission (SEC), has charged a former executive with insider trading in advance of eBay’s acquisition of the e-commerce company where he worked by tipping friends and relatives with confidential information about the pending deal ...

SEC Probes Threat From Cyber Attacks Against Wall Street

March 27th, 2014 (0)
The U.S. Securities and Exchange Commission is examining the exposure of stock exchanges, brokerages and other Wall Street firms to cyber-attacks that have been called a threat to financial stability. The SEC held a roundtable discussion of those risks ...

SEC Charges Stockbroker and Law Firm Managing Clerk

March 20th, 2014 (0)
The Securities and Exchange Commission charged a stockbroker and a managing clerk at a law firm with insider trading around more than a dozen mergers or other corporate transactions for illicit profits of $5.6 million during a four-year period. ...

FINRA Issues New Investor Alert, Bitcoin: More than a Bit Risky

March 13th, 2014 (0)
The Financial Industry Regulatory Authority (FINRA) issued a new investor alert called Bitcoin: More than a Bit Risky to caution investors that buying and using digital currency such as Bitcoin carry risks. While speculative trading in bitcoins carries significant risk, there ...

Regulators Zone

February 4th, 2014 Comments Off on Regulators Zone

Interdealer broker to pay $7 Million

December 22nd, 2020 (0)
The Commodity Futures Trading Commission announced the U.S. District Court for the Southern District of New York entered a consent order against defendants TFS-ICAP LLC and TFS-ICAP Ltd., interdealer brokers located in New York and London, requiring them to ...

Prospects for the UK and the pound

December 15th, 2020 (0)
This article assesses the likelihood of the pound following the dollar into monetary hyperinflation. Between March and September, the US Government financed twice as much of its spending by bond sales — mostly through inflationary QE — compared with ...
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