Structural Regulation

    Reporting on regulatory frameworks and rules governing market design, authorisation, and oversight of key financial market participants and infrastructures.

    Structural Regulation

    UPDATED – China’s Asset Management Sector Set for Shake-Up

    By Manesh Samtani | 28/12/2018

    Up to 22 banks have announced plans to set up new wealth management subsidiaries which could end up taking market share from asset management firms.

    AI Risk & Governance

    India Eyes Introduction of Sandbox Policy to Boost Capital Markets Innovation

    By Editors | 24/12/2018

    SEBI is examining whether legislative changes are required for the sandbox, as it seeks to enable the use of machine learning, artificial intelligence and blockchain in capital markets.

    Structural Regulation

    ISDA Releases Final Report on Benchmark Fallbacks Consultation

    By Editors | 24/12/2018

    ISDA will proceed to develop fallbacks based on the ‘compounded setting in arrears rate’ and the ‘historical mean/median approach to the spread adjustment’.

    Structural Regulation

    S. Korea to Accept Internet-Only Bank Applicants in March

    By Editors | 24/12/2018

    Two new internet banks will be granted preliminary regulatory approval by May, allowing them to provide loans to consumers, households and SMEs, but not to corporates.

    Clearing & Post-Trade

    KRX May Face CFTC Penalty for Violating CCP Rules – Report

    By Editors | 21/12/2018

    Korean media reports indicate the CFTC may take action against KRX as early as this month in response to its failures to comply with regulations for CCPs.

    Clearing & Post-Trade

    European Commission Unveils No-Deal Brexit Contingency Plan

    By Manesh Samtani | 21/12/2018

    The 14-point plan includes conditional equivalence for UK CCPs and CSDs as well as delegated regulations to facilitate the novation of OTC derivatives contracts.

    Conduct, Culture & Accountability

    Licensed Corporations Should Carefully Review Internal Controls – SFC

    By Editors | 20/12/2018

    The SFC has reviewed brokers’ internal control systems and found they are not adequately protecting client assets, supervising their staff or incentivising good compliance culture.

    Trading & Investment

    China Exempts Mainland Investors from Tax on Hong Kong Funds

    By Editors | 19/12/2018

    Chinese regulators have applied a one year income tax exemption for mainland investors buying and selling Hong Kong funds through the mutual recognition of funds scheme.

    Structural Regulation

    APRA Grants Second ‘Restricted ADI’ Licence

    By Editors | 19/12/2018

    Xinja Bank, the latest recipient of the restricted ADI licence, has a prepaid card on the market and an ASIC-approved home loan product.

    Clearing & Post-Trade

    SEBI Amends Risk Management Framework for Equity Derivatives

    By Editors | 19/12/2018

    Initial margins must be collected before the next trading day (T+0), but CCPs may allow 2 days after the last margin collection before close-out of equity derivative positions.

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