北京大学金融法研究中心 |
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全球金融监管动态简报 |
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2015年第1期 |
本期报道范围:美国、欧盟 |
报道期:2014.12.29—2015.1.11 |
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编 号 |
内 容 |
页 码 |
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1. |
1 |
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(1) |
Treasury’s Federal Insurance Office Releases Reinsurance Report |
1 |
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2. |
1 |
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(1) |
Federal Reserve Board announces Reserve Bank income and expense data and transfers to the Treasury for 2014 |
1 |
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3. |
1 |
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(1) |
Truth in Lending Act (Regulation Z) Adjustment to Asset-Size Exemption Threshold |
1 |
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(2) |
Home Mortgage Disclosure (Regulation C) Adjustment to Asset-Size Exemption Threshold |
1 |
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4. |
2 |
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(1) |
CFTC Staff Issues No-Action Relief to a Swap Dealer from Certain Chief Compliance Officer Reporting Line Requirements under Commission Regulations |
2 |
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5. |
2 |
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(1) |
FINRA Releases 2015 Regulatory and Exam Priorities Letter |
2 |
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6. |
2 |
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(1) |
NAIC Applauds Passage of TRIA & NARAB II |
2 |
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7. |
3 |
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(1) |
ESMA Updates List of Authorised CCPs – CME Clearing Europe Re-Authorised for Extended Activities and Services |
3 |
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8. |
3 |
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(1) |
Lietuvos Bankas Joins the Fourth Central Bank Gold Agreement |
3 |
中外金融监管动态 > 新刊