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Shenzhen Stock Connect May Include ChiNext Shares
By Editors | 10/03/2015
Hong Kong’s upcoming cross-border stock trade with Shenzhen will include stocks on the high-growth small and medium enterprise (SME) board, and also possibly stocks listed on ChiNext, a NASDAQ-style board.
Hong Kong’s SFC Issues Norms for Investors on Company Ownership
By Editors | 02/03/2015
The Securities and Futures Commission (SFC) has released new norms on responsible company ownership by investors, urging them to have clear policies on voting and managing conflicts of interests.
Hong Kong’s SFC Sees Robust Cross-Border Funds Exchange
By Editors | 26/02/2015
The Securities and Futures Commission expects about 600 Hong Kong and mainland Chinese funds to participate in a cross-border offering of funds that will be launched soon.
HK Regulator Wins Court Approval to Wind Up China Metal Recycling
By Editors | 26/02/2015
The Securities and Futures Commission won court approval to liquidate China Metal Recycling Holdings Ltd, in a decision that bolsters the regulator’s authority to pursue overseas firms for wrongdoing.
Hong Kong Readies Direct Stock Link with Shenzhen
By Editors | 03/02/2015
Hong Kong’s top regulator said preparations are under way to connect the city’s stock exchange with Shenzhen’s stock market, similar to the cross-border stock trading scheme with Shanghai.
Hong Kong Refines Plan for Stronger Financial System
By Editors | 22/01/2015
Hong Kong financial regulators is seeking public views on specific aspects of so-called resolution regime for financial institutions that should make the city’s financial system stable and resilient in the face of crisis and economic shocks.
Hong Kong’s SFC, ESMA Sign Central Counterparties Deal
By Editors | 18/01/2015
The Securities and Futures Commission and the European Securities and Markets Authority (ESMA) have agreed to enhance cooperation in overseeing Hong Kong-established central counter parties seeking recognition by ESMA.
Hong Kong’s SFC Issues Q2 Report
By Editors | 17/12/2014
The Securities and Futures Commission (SFC) has reaffirmed the statutory civil and criminal liability of initial public offering sponsors for defective prospectuses among the regulator’s main accomplishments in the quarter to September.
Hong Kong Regulators Relax Reporting Rules for OTC Derivatives
By Editors | 28/11/2014
Hong Kong regulators have concluded their industry consultation on the record-keeping and reporting rules for over-the-counter derivatives, and noted that the reporting obligation for OTC will be implemented in phases.
Risk Culture Seen in Banks’ Agenda, Says EY Report
By Editors | 03/11/2014
Banks in Asia-Pacific are strengthening accountability regarding risk roles and responsibilities and are boosting communication about risk expectations driven in part by tougher bank regulations, international accounting firm EY says.
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