Search Results for: MiFID

IronFX was granted enhanced Financial Conduct Authority (FCA) licence

October 15th, 2014 (0)
IronFX Global UK Ltd was granted with an enhanced Financial Conduct Authority (FCA) licence. The enhanced permission will allow IronFX Global UK to deal as principle and agent in investments as well as to hold client funds. With this ...

FCA Thematic Review: Best Execution and Payment for Order Flow (‘PFOF’)

August 12th, 2014 (0)
Financial Conduct Authority (FCA) Thematic Review: Best Execution and Payment for Order Flow (‘PFOF’) FCA thematic review of best execution and Payment for Order Flow (‘PFOF’) found that many firms do not understand key elements of FCA requirements and ...

Dark pool scrutiny no slam dunk for traditional exchanges

July 14th, 2014 (0)
The regulatory noose is tightening around dark pools, private share-trading venues that promise anonymity for specialist investors, offering a chance for rival exchanges in the United States and Europe to take back market share. But traditional stock-exchange operators such ...

ESMA: Short guide for retail investors

July 1st, 2014 (0)
The European Securities and Markets Authority (ESMA) has published a short guide for retail investors explaining the impact of the changes to be made in investor protection under the MiFID II reform. It highlights some of the most important ...

CySec on ESMA’s regulation

June 6th, 2014 (0)
The Cyprus Securities and Exchange Commission (CySec) draws the attention of the supervised entities, the stakeholders and the investing public to the announcement of the European Securities Markets Authority (ESMA). This announcement refers to the publication of the following ...

CySec informs on ESMA regulation

May 30th, 2014 (0)
The Chairman of the Cyprus Securities & Exchange Commission (CySec), Demetra Kalogirou, has announced through a circular on the ESMA – MiFID II / MiFIR Consultation Paper and Discussion Paper to inform the Cyprus Investment Firms and Regulated Markets about the following: 1. ...

EU Market Rules, Logitech Probe, Finra Fines: Compliance

May 23rd, 2014 (0)
Europe’s capital markets are getting a new foundation. The 28-nation European Union’s top markets regulator yesterday made public more than 800 pages of proposed rules that cover everything from high-frequency trading curbs to transparency requirements for bond markets and ...

Kyriacos Kyriacou, CEO of Valutrades CY Ltd

April 2nd, 2014 (1)
When did Valutrades CY Ltd obtain the provisional licence from the Cyprus Securities and Exchange Commission (CySec)? Valutrades CY Ltd has successfully obtained the provisional licence from CySec on April 17, 2013. 2.  For which reason did the company ...

Financial Conduct Authority to investigate how firms deal with risk benchmark manipulation

March 31st, 2014 (0)
The Financial Conduct Authority (FCA) has announced plans to look into how firms can reduce the risk of traders manipulating key benchmarks as a central part of its Business Plan for 2014/15, which was published today. The forward-looking thematic ...

CySec: updated form on the prevention of AML

March 24th, 2014 (0)
The Cyprus Securities and Exchange Commission (CySec) the Cypriot financial regulatory authority has released the updated Monthly Prevention Statement for the prevention of AML . The form can be found here. Source: CySec
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