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By Matthew Leising, Bloomberg |
April 23, 2013
CME Group Inc., the world’s largest futures exchange, mistakenly disclosed energy and agricultural swap trade details to market participants, the company said.
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By Jim Brunsden |
April 22, 2013
The European Union intensified its campaign against U.S. Federal Reserve proposals to toughen oversight of bank units belonging to overseas lenders.
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By Richard Rubin, Bloomberg |
April 22, 2013
A U.S. Senate bill that would let states impose sales taxes on purchases from out-of-state sellers could lead to state-level financial transaction taxes, a Wall Street trade association said.
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By Rebecca Christie and Jeanna Smialek |
April 21, 2013
European Union efforts to create a hard-to-escape financial transaction tax are coming under fire from within the bloc.
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By Joshua Zumbrun and Steve Matthews |
April 20, 2013
Federal Reserve Governor Jeremy Stein said liquidity regulation is essential to stability, while noting a need for a more moderate approach to oversight.
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By Silla Brush |
April 19, 2013
The $639 trillion global swaps market is starting to fragment because regulators are failing to agree on the cross-border rules.
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By Press Release |
April 18, 2013
CFTC orders The Linn Group, Inc. to pay $400,000 civil monetary penalty for failure to diligently supervise its officers, employees, and agents and to properly handle, monitor and report customer funds.
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By Steve Walsh, Bloomberg |
April 18, 2013
The Senate Energy and Natural Resources Committee approved the nomination of Ernest Moniz as secretary of the Energy Department, setting up a confirmation vote by the full Senate.
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By Jay Gould |
April 18, 2013
There are a number of ways to become entangled in broker dealer registration requirements that many private equity funds (and some hedge funds) will need to consider.
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By Alex Wayne and Drew Armstrong |
April 17, 2013
A U.S. senator’s review of a possible leak of market-moving info has stalled over a gray area of law and regulation.