The Financial Stability Board reported on "financial activities where supervisory practices and regulatory policies may give rise to market fragmentation."
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Trade associations urged U.S. regulators to provide guidance on implementing BCBS-IOSCO recommended exemptions from swaps margin requirements where the amounts to be transferred are below relevant thresholds.
The SEC adopted a rulemaking package designed to enhance retail investors' protections when dealing with broker-dealers and investment advisers.
CFTC Chair J. Christopher Giancarlo outlined several principles that guide effective cross-border regulation and provided an update on the status of CFTC cross-border rulemaking.
The Federal Reserve Board, Office of the Comptroller of the Currency and FDIC final rule to modify the agencies' liquidity coverage ratio rule was published in the Federal Register.