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Securities / Derivatives
Hong Kong Targets September for OTC Derivatives Margin Rules
By JP Reimann | 20/06/2018
SFC consultation proposes to phase-in IM requirements to avoid market disruption; VM to take effect on 1 September 2019.
Enforcement
China, Hong Kong to Deepen Cross-Boundary Market Surveillance
By JP Reimann | 14/06/2018
Regulators discussed collaboration on market surveillance, intelligence sharing, coordinated investigations, and the establishment of a notification mechanism for cases involving dual listed shares and cross-boundary market misconduct.
Enforcement
CBIRC, SFC to Cooperate on Cross Border Supervision
By JP Reimann | 11/06/2018
New MoU to facilitate information exchange in the interest of investor protection, promoting competence and integrity of regulated entities, market and financial integrity, and maintaining financial stability.
AML / KYC
Cryptocurrency in APAC: Opportunity, Challenge, and Risk
By David Liu | 06/06/2018
Financial institutions are at risk from the inherently opaque nature of cryptocurrency transactions, and require robust compliance programs to mitigating legal, financial, reputational, and regulatory risks.
Enforcement
SFC Fines Hang Seng Asset Management Arm
By JP Reimann | 01/06/2018
Hang Seng Investment Management fined HK$3mn for cash management failures involving SFC-authorised funds it manages from 2010 to 2016.
Enforcement
SFC Fines Wealth Manager Noah Holdings for Internal Control Failures
By JP Reimann | 30/05/2018
The firm was fined HK$5mn for failures in client risk profiling and product due diligence, resulting in potentially unsuitable investment products being sold to clients.
Securities / Derivatives
SFC Introduces New Disclosure Rules for Discretionary Account Trading
By JP Reimann | 23/05/2018
SFC requires intermediaries to disclose incentives, trading profits arising from third party products; amendments to come into effect on 25 November 2018.
Securities / Derivatives
SFC Expands Professional Investor Rules
By JP Reimann | 21/05/2018
SFC’s new professional investor rules will expand categories, amend qualification threshold starting from 13 July 2018.
Securities / Derivatives
Growing Liquidity Requirements, a Regulatory Hazard for Asset Managers
By Peter Guy | 21/05/2018
Asset managers resist bank-like capital and liquidity regulations being contemplated by regulators. But new requirements appear unavoidable given recent regulatory trends.
Enforcement
SFC Fines Citigroup $7.3mn For IPO Sponsor Failures
By Manesh Samtani | 21/05/2018
The regulator fined Citigroup for due diligence and staff supervision failures relating to IPO work in 2009; no constraints placed on its business activities.
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