The Securities and Exchange Commission today issued a policy statement describing the order in which it expects new rules regulating the derivatives market would take effect. The statement covers final rules to be adopted by the SEC under the 2010 Dodd-Frank Wall Street Reform and Consumer Protection Act.
For full news release: http://www.sec.gov/news/press/2012/2012-111.htm
You Might Also Like...
- CME Group Announces Launch of S&P 500 Total Return Index Futures and S&P 500 Carry Adjusted Total Return Index Futures
- BNY Mellon's Hani Kablawi Named New Head of Investment Services for EMEA
- Tower Trading Group Selects Ancoa Market Surveillance Platform to Monitor Multi-asset Trading Activities
- ISDA Americas Credit Derivatives Determinations Committee: Commonwealth of Puerto Rico Failure to Pay Credit Event