Markets & Infrastructure

    Conduct, Culture & Accountability

    SFC Fines HSBC Unit $1.2mn on Bond Solicitations

    By Mark Pufpaff | 23/07/2018

    HSBC Broking Securities failed to conduct proper due diligence on bonds recommended to clients and to implement effective systems ensure suitability with client needs.

    Conduct, Culture & Accountability

    S. Korea to Name-and-Shame Consumer Protection Wrongdoers

    By Editors | 23/07/2018

    Financial firms that have neglected consumer protection to be named in list published this month, in an effort to hold them more accountable.

    Structural Regulation

    Australia Consults on Second Tranche of CCIV Bill

    By Mark Pufpaff | 23/07/2018

    The bill covers winding up administration for corporate collective investment vehicles, and director liabilities for contraventions of the law, among others.

    Conduct, Culture & Accountability

    ASIC to Boost Regulatory Reporting Requirements to Deter Misconduct

    By Manesh Samtani | 22/07/2018

    Deputy chair Peter Kell said ASIC wants increased volume and granularity of data reporting as it seeks to combat misconduct and improve consumer outcomes in financial services.

    Trading & Investment

    Bangladesh to Introduce Alternative Trading Board

    By Manesh Samtani | 21/07/2018

    Officials say any equity, corporate bond, derivative or open-end mutual fund can be traded on the new platform, with no capital or disclosure requirements.

    Structural Regulation

    The Hong Kong-China Stock (Dis)Connect

    By Peter Guy | 20/07/2018

    The battle for large cap tech listings between HKEX and mainland exchanges ignited over Xiaomi this week, indicating that China’s strategic goal might be to prevent home-grown, multi-billion dollar “unicorn” companies from seeking listings on any overseas markets – including Hong Kong.

    Conduct, Culture & Accountability

    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.

    Clearing & Post-Trade

    A Different Approach to Accelerating Settlement and Reducing Risk

    By Murray Pozmanter | 19/07/2018

    Optimising settlement and moving beyond T+2 will enable firms to reduce capital requirements, systemic risk and operational costs while preserving resiliency of existing infrastructure.

    Trading & Investment

    China Bourses Agree on Plan to Allow Trading in HK-Listed Dual Class Shares

    By Manesh Samtani | 19/07/2018

    HKEX, SSE, SZSE to set up joint working group to formulate supplementary rules for including dual class shares in Stock Connect southbound trading, following ‘special stability trading period’.

    Market Abuse

    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.

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