Enforcement

    Enforcement

    SFC Bans Former StanChart Securities Executive for Three Years

    By Mark Pufpaff | 20/07/2018

    Joseph Hsu Kay Hing failed to exercise appropriate care in his responsibilities as sponsor principal and responsible officer during the supervision of a 2009 listing application.

    Enforcement

    South Korea Investigates Four More Banks for Lending Fraud

    By Garima Chitkara | 19/07/2018

    Four regional banks suspected of wrongfully calculating loan rates for consumers will be investigated by the FSS starting next month, after internal probes found over 290 cases of lending fraud.

    Enforcement

    Korea Exchange to Boost Monitoring of Short Selling

    By Garima Chitkara | 19/07/2018

    KRX will launch punitive action for breach of short selling norms by Goldman Sachs and boost its monitoring of improper short selling.

    Enforcement

    MUFG Brokerage Unit Primary Dealer Status Suspended

    By Manesh Samtani | 17/07/2018

    Dealer found to be manipulating prices in JGB futures trading, resulting in one-month suspension of the firm’s primary dealer status for one month.

    Enforcement

    Japan’s Higashi-Nippon Bank Under Fire for Lending Misconduct

    By Manesh Samtani | 16/07/2018

    The bank falsified customers’ financial records to boost loans, illicitly charged fees on loans in addition to interest, and used inappropriate financing methods involving over-lending to customers.

    Enforcement

    Former NAB Branch Manager Banned for Loan Fraud

    By Emma Zhou | 13/07/2018

    ASIC investigation found the branch manager accepted false documents to support loan applications and falsely attributed loans to obtain undue commissions.

    Enforcement

    CBA Enters Enforceable Undertaking with ASIC for BBSW Manipulation

    By Manesh Samtani | 12/07/2018

    CBA will engage an independent expert to assess changes to the banks’ policies, procedures, systems, controls, training, guidance and framework for the monitoring and supervision of employees and trading in Prime Bank Bills.

    Enforcement

    AMP Warns Financial Advisers on Licences Amid ASIC Investigation

    By Garima Chitkara | 12/07/2018

    ASIC has launched a civil action against AMP for misconduct in its financial planning arm causing the firm to put 300 of its financial planners on notice that their licences may be discontinued.

    AML / KYC

    Australian Tax Officials To Crack Down On Crypto Traders

    By Garima Chitkara | 12/07/2018

    The Australian Tax Office will use cross border data sharing agreements to track tax obligations of cryptocurrency traders, though tax implications from major gains will likely be confined to a few individuals.

    AML / KYC

    MAS Proposes Amendments to Misconduct Reporting Regime

    By Garima Chitkara | 12/07/2018

    Proposed changes aim to provide greater clarity on requirements and reduce errors in the submission of misconduct reports; reference checks to be mandatory when recruiting staff.

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