On Wednesday, February 21, 2018, the US Supreme Court resolved a circuit split by unanimously holding that an employee must report suspected securities law violations to the SEC in order to qualify as a whistleblower entitled to protection from retaliation under the Dodd-Frank Wall Street Reform and Consumer Protection Act of 2010
February 23, 2018
This publication highlights key developments that will be of interest to and affect our asset management clients, including market trends and developments in tax and buy-side regulation globally.
February 21, 2018
“Artificial Intelligence” is defined as, “the theory and development of computer systems able to perform tasks normally requiring human intelligence, such as visual perception, speech recognition, decision-making, and translation between languages.”
February 16, 2018
In December 2017, a practical guide titled “Managing Culture - A Good Practice Guide” (Guide) was jointly produced by
February 06, 2018
The Insurance Business Supervisory Board, which reports to the Ministry of Finance and Revenue, is responsible for licensing insurers, underwriting agents and...
January 30, 2018
The Office of Insurance Commission, under the supervision of the Ministry of Finance (OIC) regulates insurers, brokers and agents.
The Insurance Authority (IA), head of the Office of the Commissioner of Insurance (OCI) administers the Insurance Companies Ordinance (ICO) which has provisions gove
The Australian Prudential Regulation Authority (APRA) is the prudential regulator, and the Australian Securities and Investments Commission (ASIC) is the consumer pr
The Insurance Board of Sri Lanka (IBSL) is responsible for the development, supervision and regulation of the insurance industry.
The Ministry of Finance (“MOF”) is responsible for supervising the insurance market in Vietnam. The MOF has the power to grant and withdraw licences and has...