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Emerging Prudential Risks
FSB Warns of ‘Triple Whammy’ Threat to Financial Stability
By Manesh Samtani | 15/04/2026
The FSB has urged G20 members to maintain vigilance over a potential crystallisation of multiple vulnerabilities stemming from the Middle East conflict

Emerging Prudential Risks
IMF Warns Middle East Conflict Elevates Financial Stability Risks
By Manesh Samtani | 15/04/2026
The IMF’s latest Global Financial Stability Report highlights growing vulnerabilities in emerging markets and urges policymakers to strengthen oversight of nonbank lenders.

Resolution & Recovery
Bangladesh Passes Controversial Law Allowing Defaulters to Reclaim Banks
By Mark Johnston | 15/04/2026
The new law has sparked outrage, with critics warning it creates a legal path to "rehabilitate looters" with a nominal down payment.

Cryptocurrency
BOK Calls for Crypto to Adopt Stock Market-Style Circuit Breakers
By Sanday Chongo Kabange | 15/04/2026
BOK has urged the government to mandate stock market-style trading curbs for crypto exchanges following Bithumb's multi-billion dollar payout error.

Operational Risk
OJK Indonesia to Strengthen Insurance and Pension Fund Regulation
By Sanday Chongo Kabange | 15/04/2026
OJK is issuing new rules on governance and risk-based supervision, setting ambitious growth targets to support national development and sustainable finance.

Operational Risk
HKMA Finalises Overhaul of Bank Stress-Testing Rules
By Manesh Samtani | 15/04/2026
HKMA finalises update to stress-testing framework, introducing stricter rules on governance and expanding the scope of risks to include climate and cryptoassets.

Liquidity Risk
Indonesia Finalises Revised Export Proceeds Rule for Exporters
By Editors | 14/04/2026
The long-awaited revision will lower the mandatory rupiah conversion rate while requiring natural resource exporters to park funds in state-owned banks.

Emerging Prudential Risks
Geopolitical Risk Drives Central Bank Pivot to Gold and Diversification
By Manesh Samtani | 14/04/2026
Annual survey of 101 central bank reserve managers reveals a significant shift in strategy, with a focus on portfolio resilience amid rising global tensions.

Capital Adequacy
RBI Proposes Simplified Classification Framework for Top-Tier NBFCs
By Nithya Subramanian | 14/04/2026
The RBI plans to simplify NBFC classification with a new asset-size threshold and bring government-owned firms under stricter oversight.

Credit Risk
Korea to Launch AI-Based Credit Model for Small Business Lending
By Manesh Samtani | 13/04/2026
New system will shift from assessing past financial history to evaluating future growth potential using non-financial data; pilot launching in H2 2026.
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