HKLII Hong Kong Regulations

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BANKING (DISCLOSURE) RULES

- CHAPTER 155M

TABLE OF PROVISIONS

           Long Title

   1.      (Omitted as spent)
   2.      Interpretation
   3.      Application
   4.      References to authorized institution in Part 2
   5.      Disclosure policy
   6.      Medium and location of disclosure and issue of press release
   7.      Interaction of other requirements
   8.      Verification
   9.      Proprietary and confidential information
   10.     Materiality
   11.     Consolidated group level disclosures
   12.     Basis of disclosure
   13.     Comparative information
   14.     Frequency
   15.     Group-wide disclosures made by parent bank of authorized institution
   16.     Compliance
   17.     References to authorized institution in Part 3
   18.     Scope of consolidation
   19.     Income statement and equity information
   20.     Balance sheet information
   21.     Provisions supplementary to section 20
   22.     Provisions supplementary to section 20: derivative transactions
   23.     Off-balance sheet exposures (other than derivative transactions)
   24.     Capital structure and adequacy
   25.     General disclosures
   26.     Sector information
   27.     Overdue or rescheduled assets
   28.     Non-bank Mainland exposures
   29.     Currency risk
   30.     Liquidity
   31.     References to authorized institution in Part 4
   32.     Interpretation of Part 4
   33.     Scope of consolidation
   34.     Principal accounting policies
   35.     Income statement and equity information
   36.     Balance sheet information
   37.     Provisions supplementary to section 36
   38.     Provisions supplementary to section 36: derivative transactions
   39.     Off-balance sheet exposures (other than derivative transactions)
   40.     Hedge accounting
   41.     Fair value
   42.     Cash flow statement
   43.     Related party transactions
   44.     Assets used as security
   45.     Capital structure and adequacy
   46.     General disclosures
   47.     Sector information
   48.     Overdue or rescheduled assets
   49.     Non-bank Mainland exposures
   50.     Currency risk
   51.     Liquidity
   52.     Corporate governance
   53.     References to authorized institution, etc. in Part 5
   54.     Interpretation of Part 5
   55.     Capital adequacy
   56.     General qualitative disclosures
   57.     Credit risk: specific disclosures
   58.     General disclosures for counterparty credit risk-related exposures
   59.     Credit risk mitigation
   60.     Asset securitization
   61.     Market risk
   62.     Operational risk
   63.     Equity exposures: disclosures for banking book positions
   64.     Interest rate exposures in banking book
   65.     References to authorized institution in Part 6
   66.     Interpretation of Part 6
   67.     Capital adequacy
   68.     General qualitative disclosures
   69.     Asset securitization
   70.     Market risk
   71.     Interest rate exposures in banking book
   72.     References to authorized institution, etc. in Part 7
   73.     Interpretation of Part 7
   74.     Capital adequacy
   75.     General qualitative disclosures
   76.     Credit risk: disclosures for exposures subject to supervisory
           estimates in use of IRB approach
   77.     Credit risk: specific disclosures
   78.     Credit risk: disclosures on risk assessment
   79.     Credit risk: disclosures on historical results
   80.     General disclosures for counterparty credit risk-related exposures
   81.     Credit risk mitigation
   82.     Asset securitization
   83.     Market risk
   84.     Operational risk
   85.     Equity exposures: disclosures for banking book positions
   87.     References to authorized institution, etc. in Part 8
   88.     Medium and location of disclosure and issue of press release
   89.     Materiality
   90.     Comparative information
   91.     Frequency
   92.     Compliance
   93.     Income statement information
   94.     Balance sheet information
   95.     Provisions supplementary to sections 93 and 94
   96.     Provisions supplementary to section 94: derivative transactions
   97.     Off-balance sheet exposures (other than derivative transactions)
   98.     General disclosures
   99.     Sector information
   100.    Overdue or rescheduled assets
   101.    Non-bank Mainland exposures
   102.    Currency risk
   103.    Liquidity
   104.    Consolidated group level disclosures: general
   105.    Capital and capital adequacy
   106.    Other financial information

[ Note: This table has been automatically generated and may be incomplete. ]



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