Editors

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    Regulation Asia relies on a team of journalists, writers and editors to cover regulatory announcements across Asia Pacific. editorial@regulationasia.com

    Articles by Editors

    Emerging Prudential Risks

    IOSCO Unveils Framework for Monitoring Leverage-related Risks in Funds

    16/12/2019

    IOSCO has developed a framework for monitoring leverage across all types of investment funds globally, to help regulators assess leverage-related risks that can undermine financial stability.

    Operational Risk

    RBNZ Orders ANZ New Zealand to Improve Director Attestation Processes

    16/12/2019

    A report from Deloitte shows some level of complacency in ANZ’s director attestation framework, but no evidence of a culture that supports non-compliance or deception.

    Conduct, Culture & Accountability

    ASIC Increases Scrutiny on Audit Practices as Quality Drops

    16/12/2019

    ASIC’s latest inspection results show that audit firms did not obtain the required assurance in 26% of examined key audit areas, particularly in the audit of revenue and non-financial asset impairment.

    Supervision & Enforcement

    MAS Revokes Fund Manager’s CMS Licence for Regulatory Breaches

    16/12/2019

    The CMS licensee is a Singapore company set up by CT Bright Holdings Limited, a joint investment vehicle formed by Thai conglomerate CP Group and Japan’s ITOCHU Corporation.

    Market Data & Technology

    TMA Publishes Consultation Conclusions on HONIA Enhancements

    16/12/2019

    HONIA will continue to be calculated based on data from the existing five contributing money brokers for now, but the reporting window will change to 8:00-16:00.

    Trading & Investment

    FSC Korea Finalises Measures to Protect Investors From Risky Products

    16/12/2019

    The sale of highly complex derivative products will still be banned, but banks will be allowed to sell equity-linked trusts linked to the KOSPI 200, S&P 500, Euro Stoxx 50, HSCEI or Nikkei 225.

    Trading & Investment

    HKEX Finalises Enhancements to Pre-Opening Session, Volatility Controls

    16/12/2019

    The enhancements to the pre-opening session will be adopted in the second quarter of 2020. The stock-level volatility control mechanism will be expanded in the second half of 2020.

    Supervision & Enforcement

    APRA Imposes Licence Conditions on CBA-owned Avanteos Investments

    13/12/2019

    CBA-owned Avanteos Investments charged over 2200 deceased members adviser service fees for 15 years, resulting in a total financial impact of over A$6mn.

    Conduct, Culture & Accountability

    UK Senior Managers Regime Now Covers All FCA Regulated Firms

    13/12/2019

    All FCA regulated firms, including asset managers and hedge funds, now have to comply with the SM&CR, including for senior managers and key risk-takers hired at overseas branches.

    Credit Risk

    APRA Updates Prudential Standard on Credit Risk Management

    13/12/2019

    The revised prudential standard on credit risk management will come into effect from 1 January 2021, six months later than was proposed in a March consultation.

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