China: Fund Management/ REITs

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Article
《信披办法》视角下私募基金管理人违规披露、不披露重要信息罪的适用边界——私募基金合规与风险防范实务探究系列①
近年来,随着私募基金行业的快速发展,“强监管、防风险”已成为行业主旋律,穿透式监管态势日益趋严。在募、投、管、退的全生命周期中,如何坚守合规底线?当管理人触碰刑事红线时,法律定性边界何在?而在风险爆发后,投资者又该如何在民刑交叉的复杂局面中寻找最优维权路径ᦃ
China Commercial
AB
AnJie Broad Law Firm
Article
China’s A-Share Market Expands Closing-Price Trading: Implications For Funds And Institutional Investors
China's stock exchanges have implemented three major trading rule changes effective July 6, 2026, designed to enhance market quality and align practices with international standards. The reforms expand after-hours trading, modify public fund pricing mechanisms, and adjust price limits for risk-warning stocks. How will these structural changes impact institutional investors, ETF efficiency, and overall market participation in China's evolving capital markets?
China Finance
KG
K&L Gates LLP
Article
境外机构对境内投资者展业的历史遗留问题处理与未来合规边界
China's securities regulator has launched a comprehensive crackdown on illegal cross-border securities activities, raising critical questions about the legal boundaries between legitimate offshore brokerage services and prohibited domestic operations. When mainland Chinese investors voluntarily travel to Hong Kong to open securities accounts with licensed brokers, does this constitute illegal domestic business activity, and how do courts determine the validity of resulting margin financing agreements?
China Finance
JT
Beijing Jincheng Tongda & Neal Law Firm
Article
从私募基金角度简评《金融产品网络营销管理办法》
中国人民银行、工业和信息化部、国家市场监督管理总局、国家金融监督管理总局、中国证券监督管理委 员会(以下简称“中国证监会”)、国家知识产权局、国家互联网信息办公室、国家外汇管理局八部门联合 印发了《金融产品网络营销管理办法》(以下简称“《办法》”), 并将于 2026 年 9 月 30 日起施&
China Finance
LO
Llinks Law Offices
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