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Regulation in motion: Preparing for disclosure, oversight, and data-led supervision
October brings another round of regulatory developments that underscore how financial markets are shifting toward deeper disclosure, sharper oversight, and increased reliance on data-driven supervision.
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Adapting to ECB’s New Reporting Standards: Are You Ready?
Redefining Retail Disclosures: How the FCA’s CCI Framework Impacts the Investment Landscape
The framework applies to a wide range of investment products, including: Open-ended funds (e.g. PRIIPs, UCITS, NURS, non-PRIIP packaged funds (excluding pensions) Closed-ended funds (e.g. Investment Companies, VCTs) Insurance-based Investment Products (IBIPs)...
SFDR in 2025: Fixes, Challenges, and What’s Next
Navigating 13f-2 Reporting: Expert Insight and Strategic Approaches
11-12 September 2024 Zurich, Switzerland Join Us for an Exclusive Event: Sustainable Finance – Innovations, Reliability & Challenges for AI In today’s rapidly evolving financial landscape, sustainability is not just a buzzword but a crucial pillar for long-term...
Prioritizing Form PF – Before It’s Too Late
11-12 September 2024 Zurich, Switzerland Join Us for an Exclusive Event: Sustainable Finance – Innovations, Reliability & Challenges for AI In today’s rapidly evolving financial landscape, sustainability is not just a buzzword but a crucial pillar for long-term...
Form PF Overhaul: Are You Ready for the Biggest Changes Yet?
The Securities and Exchange Commission's (SEC) third set of Form PF amendments in the past 12 months-arguably the most substantial yet-is set to significantly impact all filers, with large hedge funds expected to bear the brunt of these changes. What will this mean...
Series: Form PF Amendments – Sections 1 & 2
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SPECIAL EDITION: RegTech Report: U.S. Supreme Court Checks Regulator Power
Welcome to our Special Edition on the U.S. Supreme Court’s recent landmark set of rulings impacting the SEC and other federal agencies.
SEC Marketing Rule Risk Alert, Private Funds Rule Verdict, & UK General Election Impact
In April the SEC’s Division of Examinations released its Risk Alert “Initial Observations Regarding Advisers Act Marketing Rule Compliance” (suggesting with the term “initial” that more risk alerts are to come, which the industry would welcome).
Private Fund Adviser Reforms, EU Due Diligence Directive, & Form PF Changes
With summer already around the corner, that gone-too-soon season is now the only thing separating fund advisers from a major compliance date under the SEC’s Private Fund Adviser Reforms.
Enhanced EMIR Reporting and T+1 Settlement
In the Fall of 2009 in Pittsburgh, Pennsylvania, G20 leaders revamped financial regulation in Europe and elsewhere, in the wake of the global financial crisis.
ALL SEC EDITION: Climate Disclosure Rule; What a Trump Victory Would Mean for the SEC Agenda
Making headline news in ESG regulation, the SEC on March 6th adopted its Final Rule for climate-related reporting by issuers.
New in RegTech: Checking in with AIFMD II; Sustainable finance; Investment monitoring changes in the UK; SEC’s new private fund rules
As we reported in our December edition, the final compromise text for “AIFMD II” was published in November 2023, ready for the European Parliament to consider.
New in RegTech: January 2024: ESG requirements keep coming; EU investor portal moves forward; Position limits; Europe: update on ECB reporting and MMFR
Commensurate with the urgency of the global climate crisis, ESG continues to occupy much of the regulatory calendar.
New in RegTech: December 2023: Private funds regulation; the SEC’s new reporting rules for shareholders; upcoming deadlines for ESG reporting by financial firms; checking in with AI.
Compliance deadlines for the SEC’s new private funds reporting requirements are already upon us.
New in RegTech: November 2023: ESG Reporting Update: Waiting for the Other Shoe to Drop
The global investment community awaits significant changes to ESG regulation, across many areas.