China Insurance Regulatory Commission’s Consultation Papers on Prevention of Insurance Fraud and Qualifications Requirements on Senior Personnel of Insurance Companies
Hong Kong Securities and Futures Commission Issued “Frequently Asked Questions on Advisory Work on Valuations in Corporate Transactions”
Salient Features of Revision of Fit and Proper Person Guidelines of Hong Kong Insurance Authority
China Securities Regulatory Commission Working on Fourth Phase of Specific Enforcement Project: Fighting Irregularities Regarding Private Equity Funds
United Kingdom Financial Conduct Authority Fines Bluefin £4 Million for Misleading Customers
Hong Kong Stock Exchange Publishes GEM Consultation Conclusions and Changes to GEM and Main Board Listing Rules
Hong Kong Stock Exchange to Expand Hong Kong’s Listing Regime to Allow Listing of Qualified WVR and Biotech Issuers
New Hong Kong SFC Compliance Bulletin Highlights Conflicts of Interest
Hong Kong SFC Publicly Censures Zhang Qiang for Breach of the Takeovers Code – Acquisition of Shares at Higher-than-Offer-Price within Six Months After Close of Offer
Hong Kong SFC Launches Consultation on OTC Derivatives and Conduct Risks