FIA today announced the election of three new directors at its annual meeting in Boca Raton, Florida: Susan Gaughan, Société Générale, Nelson Neale, CHS Hedging LLC, and Harris L. Kay, Davis Wright Tremaine LLP.
CONTINUE READINGMBP3 Solutions provides compliance services to help financial institutions navigate complex regulatory landscapes, optimise performance and achieve sustainable growth. The company provides consulting, compliance advice and outsourcing services across a range of functions to broker/dealers, futures commission merchants, commodity trading advisers and registered investment advisers.
CONTINUE READINGRobinhood Derivatives, part of Robinhood Markets, offers futures trading to retail investors. Since early 2024, Robinhood Derivatives is a registered futures commission merchant with the Commodity Futures Trading Commission and is a member of the National Futures Association.
CONTINUE READINGFIA and the FIA Principal Traders Group along with several other financial services trade associations filed an amicus brief in a third case involving the US Federal Trade Commission’s final rule that would ban nearly all noncompete agreements in the US.
CONTINUE READINGFIA’s quarterly review of volume and open interest on derivatives exchanges worldwide. This webinar will provide insights into trends in trading activity in the global listed derivatives markets.
CONTINUE READINGThe 2015 L&C Keynote Lunch Remarks were given by General Michael Hayden, Former Director, Central Intelligence Agency, and Former Director, National Security Agency.
CONTINUE READINGOn 22 May ESMA released two documents for public comment regarding the Level 2 measures foreseen under the recently agreed MiFID and MiFIR texts.
CONTINUE READINGOn 8 January 2020, FIA and ISDA responded jointly to ESMA’s consultation “MiFID II review report on position limits and position management and draft technical advice on weekly position reports”.
CONTINUE READINGFIA, FIA Europe and FIA European Principal Traders Association have submitted two sets of responses to the European Securities and Markets Authority’s consultation on MiFID II, the overhaul of the EU’s rules for markets in financial instruments.
CONTINUE READINGOn June 26, 2015 FIA filed a petition with the CFTC to amend certain provisions of the Ownership and Control Reports rule.
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