Search Results for: Securities and Exchange Commission

ESMA recognises third-country CCPs

April 30th, 2015 (0)
The European Securities and Markets Authority (ESMA) has today recognised ten third-country CCPs established in Australia, Hong Kong, Japan and Singapore. The recognition by ESMA allows third country CCPs to provide clearing services to clearing members or trading venues established in ...

SEC wins asset freeze against Chinese accused of insider trading

April 30th, 2015 (0)
The U.S. Securities Exchange Commission won on Wednesday a court order to freeze the assets of two Chinese nationals accused of insider trading for their “remarkably timed” purchases of call options in Chinese classified advertising website 58.com Inc. The ...

Big U.S. investors push SEC for oil industry to detail risks of climate change

April 17th, 2015 (0)
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 ...

Virtu IPO Tests Perceptions of High-Speed Trading

April 16th, 2015 (0)
High-frequency trading firm prices shares at $19, high end of projected range When Virtu Financial Inc., starts trading Thursday, its performance will be a test of how markets view a firm that has been at the center of controversy ...

Speed Trader Virtu Readies Another IPO Try

April 7th, 2015 (0)
Deal could value the company at $2.59 billion With the controversy over high-speed trading firms cooling, one of them is preparing to brave the stock market. Virtu Financial Inc. on Monday outlined plans to go public later this month ...

SEC Announces Fraud Charges Against Investment Adviser Accused of Concealing Poor Performance of Fund Assets From Investors

March 31st, 2015 (0)
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 ...

SEC Charges Nearly Two Dozen Unregistered Broker-Dealers

March 27th, 2015 (0)
The Securities and Exchange Commission today charged nearly two dozen companies and individuals who regularly bought and sold securities on behalf of a suburban Chicago-based trading firm without registering with the SEC as a broker-dealer as required under the ...

ASIC: Two men sentenced in Australia’s largest insider trading case

March 17th, 2015 (0)
Joint media release with The Hon Josh Frydenberg, Assistant Treasurer and The Hon Kelly O’Dwyer, Parliamentary Secretary to the Treasurer Two men were sentenced to jail terms of 7 years and 3 months, and 3 years and 3 months ...

U.S. banks’ buybacks, dividends may be no reason for shareholder celebrations

March 11th, 2015 (0)
Big U.S. banks, including JPMorgan Chase & Co (JPM.N) and Citigroup Inc(C.N), are expected to win Federal Reserve backing on Wednesday to buy back more shares and increase their dividends in the coming year, but the approvals may be as much about the institutions’ financial ...

CYSEC Board Decision

March 5th, 2015 (0)
Following previous announcement dated February 18, 2015, the Cyprus Securities and Exchange Commission, following a decision in the meeting dated 2 March 2015, announces that the authorisation of the Cyprus Investment Firm ‘Pulp International Business Ltd’, with number 095/08, ...
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