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30 Dec 2005

Implementation of revised capital adequacy standards under Basel II in Hong Kong

22 Dec 2005

Supplementary Information on Personal Renminbi (RMB) Business 

14 Dec 2005

United Nations Sanctions (Democratic Republic of the Congo) Regulation 2005 and list of names for suspicious account reporting

13 Dec 2005

Personal Renminbi Business in Hong Kong

5 Dec 2005

Reporting of Non-Bank China Exposures

28 Nov 2005

Supervisory Policy Manual ("SPM"): OR-1 Operational Risk Management

25 Nov 2005

Complaints Against Debt Collection Agents Employed by Authorized Institutions

24 Nov 2005

Preparedness for Influenza Pandemic in Hong Kong

18 Nov 2005

Commencement of Banking (Amendment) Ordinance 2005

14 Nov 2005

Combating Money Laundering and Terrorist Financing Activities

11 Nov 2005

Re-launch of the Initial Public Offering ("IPO") of the Link Real Estate Investment Trust ("Link REIT")

2 Nov 2005

Non-Cooperative Countries and Territories & List of names for suspicious account reporting

5 Oct 2005

Risk-Based Classification of Suspicious Transaction Reports (STRs)

16 Sep 2005

Section 311 of the USA PATRIOT Act

17 Aug 2005

Complaints Against Debt Collection Agents Employed by Authorized Institutions

11 Aug 2005

Anti-Money Laundering Seminar for Compliance Officers

10 Aug 2005

List of names for suspicious account reporting – US Executive Order

29 Jul 2005

Impact of the New Hong Kong Accounting Standards – Regulatory Reserve (To DTCA)

29 Jul 2005

Impact of the New Hong Kong Accounting Standards – Regulatory Reserve (To HKAB)

29 Jul 2005

Impact of the New Hong Kong Accounting Standards – Regulatory Reserve (To HKICPA)

19 Jul 2005

United Nations Sanctions (Liberia) Regulation 2005 and List of names for suspicious account reporting

15 Jul 2005

Banking (Amendment) Ordinance 2005

11 Jul 2005

New Hong Kong Accounting Standards : Impact on Interim Financial Disclosure

4 Jul 2005

Incident of Alleged Bribery over Debt Collection Business

30 Jun 2005

Self-Assessment of Compliance with Anti-Money Laundering (AML) Requirements

30 Jun 2005

Specification of Exempted Charges under Section 106 of Banking Ordinance

15 Jun 2005

Review of Terms and Conditions of Banking Services other than Safe Deposit Box Service

13 Jun 2005

List of names for suspicious account reporting – US Executive Order

3 Jun 2005

Self-Assessment of Compliance with the Code of Banking Practice

20 May 2005

List of names for suspicious account reporting – US Executive Order

11 May 2005

Complaints Against Debt Collection Agents Employed by Authorized Institutions

6 May 2005

List of names for suspicious account reporting and USA PATRIOT Act

12 Apr 2005

Review on Impact of the New Hong Kong Accounting Standards on Authorized Institutions' Capital Base and Regulatory Reporting

31 Mar 2005

SFC press release – Extracts and Advertisements Concerning Prospectuses under the Companies Ordinance

1 Mar 2005

The Securities and Futures Commission's Report (the Report) on Selling Practices of Licensed Investment Advisers

28 Feb 2005

Residential mortgage loans (RMLs)

25 Feb 2005

Fund Management Activities Survey 2004
Conducted by the Securities and Futures Commission (SFC)


21 Feb 2005

Register of Relevant Individuals under Section 20(1)(ea) of the Banking Ordinance (BO)

18 Feb 2005

Financial Action Task Force on Money Laundering (FATF)
Non-Cooperative Countries and Territories (NCCTs)


7 Feb 2005

Complaints against Debt Collection Agents employed by Authorized Institutions

4 Feb 2005

List of names for suspicious account reporting – US Executive Order and Government Gazette

2 Feb 2005

Review on Impact of the New Hong Kong Accounting Standards on Authorised Institutions' Capital Base and Regulatory Reporting (Letter to HKAB)

2 Feb 2005

Review on Impact of the New Hong Kong Accounting Standards on Authorised Institutions' Capital Base and Regulatory Reporting (Letter to DTCA)

18 Jan 2005

SPM IC-6 The Sharing and Use of Consumer Credit Data through a Credit Reference Agency

 
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