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By Andrew Zajac |
April 16, 2013
Bloomberg LP sued the top U.S. derivatives regulator over rules setting higher collateral standards for swaps than comparable futures.
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By Press Release |
April 16, 2013
Regulators say the OTC derivatives market is a global market and requires consistent standards in and across jurisdictions.
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By Lindsay Fortado and Jim Brunsden |
April 16, 2013
Regulators will seek to eliminate conflicts leading to manipulation of benchmark lending rates while investigations into Libor fixing continue.
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By Press Release |
April 15, 2013
A federal court order finds that Robert Cannone and National Equity Holdings fraudulently solicited $1.4 million in client funds.
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By Liam Vaughan |
April 14, 2013
Banks are leaving the panel that sets ISDAFix, the benchmark for the $379 trillion swaps market, as regulators probe suspected manipulation.
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By Silla Brush |
April 9, 2013
Energy and manufacturing companies won delays in Dodd-Frank Act requirements to report derivatives trades they use to hedge business risks.
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By Matthew Leising |
April 9, 2013
The ISDA has hired consulting firm Oliver Wyman to make recommendations on how to modify its interest-rate swap pricing process.
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By Matthew Leising |
April 8, 2013
The CFTC reportedly has issued subpoenas as part of an investigation into possible price manipulation of interest-rate swaps.
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By Press Release |
April 4, 2013
The SEC has streamlined the process for rulemaking by clearing agencies that are registered with both the SEC and the CFTC.
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By Bloomberg |
April 1, 2013
Barclays Plc, JPMorgan Chase & Co. and other banks will be exempt from Dodd-Frank Act rules when trading between their own affiliates.