Showing 4566 Documents for "economic issues"
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- MAS
- Media Releases
Last revised date:
- Singapore, 23 November 2010…The Monetary Authority of Singapore (MAS) today launched the 2011 Year of the Rabbit Almanac Coins and the 2011 Uncirculated Coin Set. 2011 Year of the Rabbit Coins 2 The coins are part of the third Chinese Almanac Coins Series designed by Mr Xu Yunfei of Shanghai Mint. The image of the rabbit is integrated with ancient Chinese seal characters in a design that combines tradition with modernity.
- MAS
- Enforcement Actions Media Releases
Last revised date:
- Singapore, 10 October 2022...Mr Raj Sriram, former Deputy CEO and Head of Private Banking of BSI Bank Limited, Singapore Branch (BSIS), has been issued a 24-month conditional warning from the Singapore Police Force’s Commercial Affairs Department (CAD) and a 10-year prohibition order (PO) by the Monetary Authority of Singapore (MAS) for his contribution to BSIS’ failure to file suspicious transaction reports (STRs) regarding 1Malaysia Development Berhad (1MDB)-related transactions. 2. CAD investigated
- MAS
- Media Releases
Last revised date:
- Singapore, 6 December 2022… The Monetary Authority of Singapore (MAS) strongly encourages members of the public to go green this coming Lunar New Year (LNY) by using “Fit-for-Gifting” currency notes (Fit notes) or e-hong baos, instead of new notes. 2. Fit notes are used currency notes that are generally clean and of suitable quality for recirculation, including for festive gifting. The condition of these notes has been verified by banknote processing machines and are similar in quality to notes from
- MAS
- Exemptions
Last revised date:
- View exemptions issued under section 337(2) of the Securities and Futures Act for the period from 1 April 2018 to 30 June 2018. Issue Date: 16 August 2018 EXEMPTIONS ISSUED PURSUANT TO SECTION 337(2) OF THE SECURITIES AND FUTURES ACT (CAP. 289) (SFA) For the period from 1 April 2018 to 30 June 2018 S/N Exemption granted Exemption provision 1 Exemption for the manager of a real estate investment trust (REIT) Section 306(1) of the SFA No. of exemptions provided
- MAS
- Guidelines
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- Guidelines on market conduct and service standards for direct general insurers as product providers of insurance policies. These guidelines apply to all direct general insurers writing personal general insurance products, except marine mutual insurers and financial guarantee insurers. It sets out the standards of conduct expected of direct general insurers as product providers of insurance policies. It also explains the importance of an industry code of practice in enhancing transparency, fair treatment
- MAS
- Exemptions
Last revised date:
- View exemptions issued under section 337(2) of the Securities and Futures Act for the period from 1 January 2015 to 31 March 2015. Issue Date: 29 Apr 2015 EXEMPTIONS ISSUED PURSUANT TO SECTION 337(2) OF THE SECURITIES AND FUTURES ACT (CAP. 289) (SFA) For the period from 1 January 2015 to 31 March 2015 S/N Exemption granted Exemption provision Description No. of exemptions provided 1 Date of exemption granted 9 2015 January Section 302 (read with section 247(1))
- PDPC
- Commission's Decisions
Last revised date:
- Directions were issued to M Stars Movers for disclosure of a customer's personal data via social media without consent, failure to appoint a Data Protection Officer, and failure to institute policies and practices that are necessary for the organisation to meet the obligations imposed under the PDPA. Click here to find out more. PERSONAL DATA PROTECTION COMMISSION [2017] SGPDPC 15 Case No DP-1612-B0418 In the matter of an investigation under section 50(1) of the Personal Data Protection Act
- PDPC
- Commission's Decisions
Last revised date:
- A financial penalty of $30,000 was imposed on Aviva for failing to make reasonable security arrangements to prevent the unauthorised disclosure of personal data of policyholders. This is a second case within a period of 12 months. Click here to find out more. PERSONAL DATA PROTECTION COMMISSION [2018] SGPDPC 4 Case No DP-1706-B0860 In the matter of an investigation under section 50(1) of the Personal Data Protection Act 2012 And Aviva Ltd Organisation DECISION --------
- MAS
- Consultations
Last revised date:
- Response VIEW DOCUMENT Response to Feedback Received on Proposed Changes to Risk-Based Capital Requirements and Conduct of Business Limits for Securities Financing Activities (99.6 KB) Consultation Paper VIEW DOCUMENT Proposed Changes to Risk-Based Capital Requirements and Conduct of Business Limits for Securities Financing Activities (59.6 KB) RESPONSE TO FEEDBACK RECEIVED - CONSULTATION ON PROPOSED CHANGES TO RISK-BASED CAPITAL REQUIREMENTS AND CONDUCT OF BUSINESS LIMITS FOR SECURITIES FINANCING
- PDPC
- Undertakings
Last revised date:
- Background The Personal Data Protection Commission (the “Commission”) was notified by Employment and Employability Institute Pte. Ltd. on 25 March 2021 of a personal data breach involving its contact centre and data intermediary, i-vic International Pte. Ltd. (“i-vic). Investigations revealed that an employee of i-vic had most likely fallen prey to a phishing attack. As a result, a malicious actor successfully downloaded the personal data belonging to 31,002 individuals, from 2 email accounts belonging