China Securities Regulatory Commission (CSRC)
New equity options on two exchanges
The existence of multiple rule books may deter issuers and investors in securitisation
The Shanghai FTZ could prove a rival to Hong Kong if the experiment is a success
The Certificate in Quantitative Finance program provides risk professionals with quant finance tools applicable to their roles, and now offers risk management electives. Join our online info session: 11 June
More China Securities Regulatory Commission (CSRC) articles
China's slower growth rate and rising risks in credit-based WMPs are pushing policy-makers to diversify investment products
Despite banks holding an overwhelming majority of the domestic bond market they are barred from participation in futures trading
New rules aim to promote the market but banks still prefer the WMP route
Securities firms in China have begun trading OTC equity derivatives, with a final master agreement expected soon
Pilot programmes by the CSRC to encourage OTC derivatives trading for securities companies in China
The renminbi deposit base in Hong Kong banks will not face depletion even as investors have more ways of remitting the currency back to mainland China, say speakers at the Asian Financial Forum
Bucking the trend
China insurers now allowed to invest in hybrid, convertible bonds and infrastructure asset and real estate
In the tightly regulated Chinese economy, the launch of ETFs linked to overseas shares marks a new form of investment vehicle available to mainland investors. However, challenges still remain due to...
New World Bank report sees flaws in China's regulatory system
A round of new chairships was completed in October across three Chinese financial regulators in a move that saw the heads of two Chinese state-owned commercial banks promoted to lead the securities ...
The role of a chief risk officer (CRO) is becoming increasingly relevant at institutions in Asia – sometimes creating friction with the CFO. And Chinese CROs face additional challenges, according ...
Gateway to Asia
This whitepaper reviews the fundamental changes of Liquidity Risk Management under Basel III. It discusses how institutions can meet the regulatory requirements on liquidity risk management by enhancing their liquidity risk analytics, funds transfer pricing methodologies, liquidity stress testing frameworks, and enterprise risk management platforms.