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By Philip McBride Johnson |
December 26, 2012
In both the securities and derivatives worlds, new rivals have emerged to offer comparable services for similar transactions. Here we question whether exchange mergers can stem the gains made by those alternatives.
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By Alanna Byrne |
December 14, 2012
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By Alanna Byrne |
December 7, 2012
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By Press Release |
December 7, 2012
CME Group, Futures Industry Association, the Institute for Financial Markets and National Futures Association today announced that they have jointly commissioned a firm to study the costs and benefits of adopting an insurance regime for the U.S. futures industry.
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By Alanna Byrne |
December 6, 2012
Shareholders of scores of public companies can expect to get some holiday bonuses this year, as many of these firms rush to issue special dividends before a potential 2013 tax hike linked to the fiscal cliff kicks in.
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By Michael McFarlin |
December 4, 2012
Democrat members of the House Financial Services Committee urged further regulatory action against MF Global in a report yesterday, saying the firm “blatantly misled” regulators about its sovereign debt holdings.
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By Daniel P. Collins |
December 3, 2012
The CFTC announced on Monday that it has obtained a federal court order requiring MBF Clearing to pay a $650,000 civil monetary penalty for violating the Commodity Exchange Act.
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By Alanna Byrne |
December 3, 2012
CME Group announced Monday that it has completed its acquisition of the Kansas City Board of Trade (KCBT), adding hard red winter (HRW) wheat to its offering of agricultural products.
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By News Story |
December 3, 2012
Morgan Stanley trader Edward Glenn Hadden is under investigation by CME Group for trade he made in Treasury futures four years ago as an employee of Goldman Sachs.
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By Press Release |
December 3, 2012
CME Group announced it has completed its acquisition of the Kansas City Board of Trade, the leading futures market for hard red winter wheat.