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Gold vs. Bitcoin: Which Does Frank Holmes Think You Should Have in Your Portfolio?


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Gold vs. Bitcoin: Which Does Frank Holmes Think You Should Have in Your Portfolio?
Interview
Streetwise Reports  (6/3/21)
Frank Holmes, CEO and chief investment officer of U.S. Global Investors as well as executive chairman of HIVE Blockchain Technologies, discusses gold and cryptocurrencies, and also talks about companies that are shining in his gold miners ETF right now.
Streetwise Reports: Frank, thanks for joining us today. Gold, after several months of trading sideways, has recently seen some new momentum. It s been staying above $1,850 an ounce while cryptocurrencies have been experiencing extreme volatility. You re in a unique position because not only do you head U.S. Global Investors, but you re also the executive chairman of HIVE Blockchain Technologies Ltd. (HIVE:TSX.V; PRELF:OTC). What is your perspective on gold versus cryptocurrencies? Where does each go from here? ....

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SC reprimands Remitano, includes in investor alert list


KUALA LUMPUR: The Securities Commission Malaysia (SC) has reprimanded Remitano for operating a digital asset exchange (DAX) in Malaysia without authorisation and has included the entity on its Investor Alert list.
In a statement today, the regulator said it viewed this transgression as serious and is working with the Malaysian Communications and Multimedia Commission (MCMC) to block Remitano’s website.
We have also written to Google and Apple to disable the operation of Remitano’s mobile applications in Malaysia,” it said.
It said operating a DAX without obtaining SC’s approval as a Registered Market Operator (RMO) is an offence under Section 7 of the Capital Markets and Services Act 2007. ....

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SEC and FINRA Emphasize Cybersecurity, AML, and Reg BI as Key Areas of Focus for Broker-Dealer Examinations in 2021 | King & Spalding


INTRODUCTION
The U.S. Securities and Exchange Commission (SEC) and Financial Industry Regulatory Authority (FINRA) have each published their annual examination priorities for 2021, signaling areas of scrutiny that broker-dealers should expect in upcoming regulatory exams. Both sets of priorities offer a road map of the issues of concern to regulators and provide guidance on what market participants – particularly broker-dealers – can do to anticipate those concerns and mitigate regulatory risks. Given the shared focus of both the SEC and FINRA in certain areas, broker-dealers should pay close attention to aspects of their businesses where these shared priorities overlap. This alert explores several of these areas of mutual concern, namely (i) information protection and cyber security, (ii) anti-money laundering policies, and (iii) sales practices, especially as they relate to Regulation BI obligations. We conclude by offering some practical takeaways to help broker-dealers ....

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