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30 November 2025: Japan’s Financial Services Agency (FSA) plans to mandate crypto exchanges to hold liability reserves equivalent to a portion of customer assets, aiming to ensure that platforms can compensate users in case of hacks or operational failures.
26 November 2025: A U.S. judge ruled that Kalshi’s political event contracts fall under Nevada gaming regulations, meaning the platform must comply with state gambling laws despite its federal designation as a regulated exchange.
25 November 2025: The U.S. Commodity Futures Trading Commission (CFTC) approved Polymarket as a fully regulated prediction market, enabling intermediated U.S. market access and expanding its ability to offer regulated prediction markets under U.S. oversight.
21 November 2025: The U.K. Financial Conduct Authority (FCA) proposed changes to transaction reporting rules that could save firms around £100 million annually by simplifying requirements and reducing compliance burdens while maintaining data quality for market oversight.
20 November 2025: The U.S. Office of Enforcement and Regulatory Accounting released its 19th annual report detailing fiscal 2025 activities across investigations, audits and market surveillance, along with settlements totaling $36.57 million and compliance findings.
20 November 2025: Two U.S. Senators introduced a bipartisan market structure discussion draft to empower the CFTC as the primary regulator for digital commodities, establishing exchange registration, disclosure rules and fees—shifting oversight from the SEC.
19 November 2025: The FCA launched a consultation on introducing a U.K. equity consolidated tape to improve market transparency, boost liquidity and strengthen the global competitiveness of U.K. equity markets by providing investors with a unified view of trading data across venues.
17 November 2025: The U.S. Securities and Exchange Commission (SEC) Division of Examinations announced its 2026 priorities to enhance transparency and guide registrants on key compliance areas, focusing on fiduciary duty, new rules like Regulation S-P amendments and heightened risk factors to protect investors and maintain fair markets.
17 November 2025: The Philippine Securities and Exchange Commission (SEC) plans to introduce a whistleblower protection program to encourage reporting of corporate and securities law violations, aiming to combat scams, insider trading and other illicit activities while strengthening market integrity and transparency.
11 November 2025: The International Organization of Securities Commissions (IOSCO) released its “Final Report on Financial Asset Tokenization,” analyzing the adoption of financial asset tokenization, highlighting its potential efficiency gains, associated risks and varied regulatory approaches, while providing guidance to ensure market integrity and investor protection.
2 November 2025: The EU is preparing reforms to give the European Securities and Markets Authority (ESMA) U.S.-style oversight powers over major stock and crypto exchanges, aiming to centralize regulation to cut red tape and boost cross-border market competitiveness.
2 November 2025: The Hong Kong Securities and Futures Commission (SFC) will allow local licensed crypto exchanges to connect with global shared order books, a major policy shift to boost liquidity and price discovery by integrating Hong Kong’s crypto markets with international exchanges.
2025 Nasdaq Global Compliance Survey
Now in its 10th year, Nasdaq’s Global Compliance Survey captures insights from compliance leaders, providing a clear snapshot of an industry in rapid evolution. Discover how teams are leveraging emerging technology like AI while navigating regulatory complexity.
2025 Nasdaq Global Compliance Survey: Data Quality and Surveillance Effectiveness are the Top Priorities
Learn the key insights from Nasdaq’s 2025 Global Compliance Survey, highlighting how firms are prioritizing data quality, surveillance effectiveness and AI.
When One Trade Isn’t the Whole Story: Uncovering Cross-Product Manipulation
Market abuse increasingly spans multiple instruments, markets and regions—making it harder to detect with traditional surveillance methods. Download Nasdaq’s latest whitepaper, “When One Trade Isn’t the Whole Story: Uncovering Cross-Product Manipulation” to learn more.
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