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

    Structural Regulation

    ASIC, ESMA Sign MOU to Cooperate on Benchmarks

    22/10/2019

    The MoU sets out cooperation arrangements to complement the EU’s July equivalence decision, as well as to ensure effective information exchange and supervisory coordination.

    Trading & Investment

    SSE, SZSE Grant Stock Connect Access to HK Dual Class Shares

    22/10/2019

    The rule changes come over a year after the China and Hong Kong bourses started working towards including dual class shares in Stock Connect.

    Structural Regulation

    Korea to Lift Ban on Brokers Lending to Overseas Units

    21/10/2019

    Large brokerage firms will be allowed to extend loans to their overseas operations to better finance their global outreach.

    Market Abuse

    US SEC Charges Chinese Traders in Market Manipulation Scheme

    21/10/2019

    The market manipulation scheme involved 18 traders primarily based in China, over 3,900 US-listed securities and over $31mn in illicit profits.

    Sustainable Finance

    NGFS Publishes Guide to Sustainable Investing for Central Banks

    21/10/2019

    The guide identifies the five most common ‘sustainable and responsible investment’ strategies used in central bank portfolio management.

    Capital Adequacy

    BCBS Releases 17th Progress Report on Basel III Adoption

    21/10/2019

    Since the previous report, member jurisdictions have made the most progress in adopting the NSFR, IRRBB, and large exposures framework.

    Credit Risk

    Korea to Impose Loan-to-Deposit Cap on Savings Banks

    21/10/2019

    The loan-to-deposit rate at savings banks will be limited to 110% starting from 2020, and further tightened to 100% in 2021. Currently, commercial banks already face the 100% limit.

    Anti-Money Laundering

    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.

    Emerging Prudential Risks

    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.

    Structural Regulation

    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.

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