Tag: SFC

Hong Kong SFC
May 15, 2017 BY Valentina Kirilova

Hong Kong SFC issues guidance on corporate transactions and the use of valuations

The Securities and Futures Commission (SFC) today issued a guidance note on directors' duties and a circular to financial advisers regarding valuations in corporate transactions together with a statement on the liability of valuers for disclosure of false or misleading information. The SFC shared that has become increasingly concerned that some listed companies are acquiring…

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DFSA
May 10, 2017 BY Valentina Kirilova

SFC reprimands and fines Promising Securities Company Limited $3.5 million

The Hong Kong Securities and Futures Commission (SFC) has reprimanded and fined Promising Securities Company Limited $3.5 million for breach of the Code of Conduct and the Management, Supervision and Internal Controls Guidelines. The SFC’s disciplinary action arose from a self-report by Promising in 2014 that a settlement staff had misappropriated client assets following an…

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bitcoin hacker
May 09, 2017 BY Valentina Kirilova

Hong Kong SFC consults on proposals to reduce hacking risks in internet trading

The Securities and Futures Commission (SFC) launched a two-month consultation on proposals to reduce and mitigate hacking risks associated with internet trading. The proposals incorporate new guidelines which set out baseline cybersecurity requirements for internet brokers to address hacking risks and vulnerabilities and to clarify expected standards of cybersecurity controls. Some of these requirements already…

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April 28, 2017 BY Valentina Kirilova

SFC releases report on retail futures brokers

The Securities and Futures Commission (SFC) today published its Report on the fact-finding exercise on retail futures brokers which aimed to understand the business profiles and major risk management controls and practices of 10 major local futures brokers (the Reporting Firms). This information assists the SFC in supervising licensed corporations and helps market participants understand…

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Hong Kong SFC
April 27, 2017 BY Valentina Kirilova

SFC issues a joint HKMA-SFC consultation on the OTC derivatives regulatory regime

The Hong Kong Monetary Authority (HKMA) and the Securities and Futures Commission (SFC) today issued a joint consultation on the prescription of additional markets and clearing houses, and the prescription of Delta One Warrants, for the purpose of the over-the-counter (OTC) derivatives regulatory regime. This consultation is in response to a recent request from market…

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April 21, 2017 BY Valentina Kirilova

Hong Kong SFC re-appoints CEO Ashley Alder

The Securities and Futures Commission (SFC) welcomes the re-appointment of Mr Ashley Alder as its Chief Executive Officer for another three-year term effective from 1 October 2017. Mr Alder was first appointed as the SFC’s CEO on 1 October 2011. His current term will end on 30 September 2017. I am delighted that Ashley has…

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Hong Kong SFC
April 21, 2017 BY Valentina Kirilova

SFC enhances access to licensing information

The Securities and Futures Commission (SFC) today published a comprehensive Licensing Handbook to provide easier access to licensing information. The licensing section of the SFC website has also been revamped to improve the user experience. The new Licensing Handbook consolidates information previously issued by the SFC in its Licensing Information Booklet and in frequently asked…

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April 13, 2017 BY Valentina Kirilova

SFC welcomes re-appointment of Non-Executive Director

Hong Kong’s financial regulator the Securities and Futures Commission (SFC) welcomed the re-appointment by the Financial Secretary of Mr Albert Au Siu-cheung as a Non-Executive Director for a term of two years with effect from 26 May 2017. Mr Au was first appointed as a Non-Executive Director of the SFC on 26 May 2015. SFC’s…

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April 12, 2017 BY Valentina Kirilova

SFC reprimands and fines iSTAR International Futures Co. Limited $3 million over anti-money laundering

The Securities and Futures Commission (SFC) has reprimanded iSTAR International Futures Co. Limited, now known as Rifa Futures Limited, and fined it $3 million over failures to comply with anti-money laundering regulatory requirements when processing third party fund transfers. An SFC investigation found that between January and July 2014, Rifa took insufficient steps to mitigate…

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