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Enforcement
SFC Fines HSBC Unit $1.2mn on Bond Solicitations
By Mark Pufpaff | 23/07/2018
HSBC Broking Securities failed to conduct proper due diligence on bonds recommended to clients and to implement effective systems ensure suitability with client needs.
Enforcement
SFC Bans Former StanChart Securities Executive for Three Years
By Mark Pufpaff | 20/07/2018
Joseph Hsu Kay Hing failed to exercise appropriate care in his responsibilities as sponsor principal and responsible officer during the supervision of a 2009 listing application.
AML / KYC
SFC Goes Live with Amended Professional Investor Rules
By Manesh Samtani | 19/07/2018
Holding companies of existing qualified professional investors will gain status as professional investors; intermediaries must obtain confirmation that their shareholders are notified of the change.
AML / KYC
SFC Provide Guidance on Online Client Onboarding
By Manesh Samtani | 18/07/2018
Procedures to verify client identities include obtaining a digitally signed agreement and identity document copy, and the use of designated accounts in the client’s own name only for deposits and withdrawals.
Enforcement
Citigroup unit Fined HK$4mn for Alternative Liquidity Pool Failures
By Garima Chitkara | 11/07/2018
SFC found that due to an incorrect system setting for client profiles, over 130 clients had accessed alternative liquidity pool Citi Match without being assessed whether they were qualified investors.
Enforcement
CCB Hong Kong Unit Fined for IPO Sponsor Failures
By Manesh Samtani | 10/07/2018
SFC has fined CCB International Capital HK$24mn for failing to conduct reasonable due diligence for seafood company Fujion Dongya Aquatics in its 2014 listing.
AML / KYC
SFC Updates AML/CFT Guideline as FATF Assessment Looms
By JP Reimann | 06/07/2018
Proposals include streamlining of customer onboarding processes and a requirement to implement group-wide AML/CFT systems at overseas branches and subsidiaries.
Securities / Derivatives
SFC Imposes Enhanced Reporting Obligations on Authorised Funds
By Manesh Samtani | 04/07/2018
Enhanced reporting obligations to include data on liquidity profiles, subscription and redemption amounts, asset allocation, and securities financing/borrowing transactions.
Securities / Derivatives
Mainland Investors Gain Access to HK Stock Research
By Manesh Samtani | 04/07/2018
New rules enable better access to research reports and advice on HK-listed stocks, and opportunities for HK securities firms to distribute their research through mainland firms.
Securities / Derivatives
HK Exchange Tightens Rules on Backdoor Listings, Shell Activities
By Manesh Samtani | 04/07/2018
Hong Kong stock exchange proposes tightening reverse takeover rules and continuing listing criteria to address concerns about backdoor listings through shell companies by firms that may not otherwise qualify.
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