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By Silla Brush |
May 30, 2013
Gary Gensler is drawing scrutiny for using personal email for work, including during the collapse of MF Global Holdings Ltd.
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By Silla Brush |
May 21, 2013
Chairman Gary Gensler’s recusal from the investigation into MF Global was unnecessary, according to the agency’s internal watchdog.
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By Silla Brush |
May 8, 2013
The regulator is considering reducing the number of price quotes a buyer must request before trading swaps.
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By Lindsay Fortado and Matthew Leising |
April 23, 2013
The U.K. Financial Conduct Authority has started an inquiry into how the so-called ISDAfix rate is set in British pounds.
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By Andrew Zajac |
March 16, 2013
The Federal Energy Regulatory Commission lacks authority over futures contracts, a U.S. appeals court ruled.
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By Silla Brush |
March 12, 2013
Bloomberg LP threatened to sue the top U.S. derivatives regulator unless it halts regulations setting higher collateral standards for swaps.
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By Silla Brush |
March 6, 2013
The CFTC has suspended a program of visiting academic researchers over concerns about the handling of confidential trading data.
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By Matthew Leising |
February 19, 2013
CME Group Inc.’s decision to allow users of its interest-rate swap future contracts to avoid tougher oversight is drawing scrutiny from the CFTC.
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By Lindsay Fortado, Bloomberg |
December 3, 2012
UBS AG, Switzerland’s biggest lender, is close to agreements with U.S. and U.K. regulators to pay more than 290 million pounds ($466 million) in fines over allegations traders tried to rig global interest rates.
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By Tom Schoenberg and Silla Brush |
November 29, 2012
CME Group Inc. dropped a lawsuit challenging the CFTC's new rules on trade-data reporting after the agency backed away.