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

    AML / KYC

    New Zealand FX Broker Issued Formal Warning for AML Violations

    21/10/2019

    Forex brokerage Circle Markets Limited did not dispute the FMA’s findings, and its sole director admitted to not fully understanding his AML/CFT obligations.

    Market Infrastructure

    AMAC Warns of Concentration Risk in China Funds Industry

    21/10/2019

    Over 20,000 private fund managers registered with AMAC are controlled by fewer than 2,000 people, prompting concerns of excessive concentration in the industry.

    Securities / Derivatives

    UPDATED – Japan Cabinet Approves Tougher Foreign Investment Rules

    21/10/2019

    Japan’s proposal to lower the notification threshold for foreign investors has passed the cabinet and could become law by early April, with exemptions for foreign FIs.

    Enforcement

    FSC Korea to Boost Supervisory Capacity to Prevent Mis-selling

    21/10/2019

    The FSC will reportedly increase the number of banking, financial investment and asset management experts it has on staff for inspections of banks, security firms and insurers.

    Fintech / Regtech

    G20 Finance Leaders Agree to Regulate Stablecoins

    21/10/2019

    Amid warnings from the FSB and FATF, the G20 finance leaders have agreed that no stablecoin project should commence operation until their risks are evaluated and appropriately addressed.

    Australia to Ban Grandfathered Conflicted Remuneration from 2021

    19/10/2019

    The bill to end the payment of grandfathered conflicted remuneration to financial advisers has now passed in the Senate, after passed in the House of Representatives last month.

    Enforcement

    Former Supervisor at ICBC Unit Settles with US SEC

    18/10/2019

    The former supervisor of ICBC’s US broker-dealer unit has agreed to settle charges for failures involving the improper handling of transactions of ADRs.

    AML / KYC

    SEBI Issues Measures to Protect Securities Market Client Records

    18/10/2019

    A new cybersecurity framework has been issued for KYC registration agencies. Stockbrokers, depository participants, registrars and transfer agents are asked to submit their quarterly reports by end-November.

    Securities / Derivatives

    China Bond Market Access Schemes to Become Interoperable

    18/10/2019

    Foreign institutional investors can transfer bond holdings and funds between their QFII/RQFII and direct investment schemes starting from 15 November.

    Securities / Derivatives

    Japan to Exempt Hedge Funds from Stricter Foreign Investment Rules

    18/10/2019

    The government reportedly intends to exempt ‘portfolio investors’ from having to seek prior approval under the proposed 1% notification threshold.

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