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Effective Period

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To access the FCA Handbook Archive choose a date between 1 January 2001 and 31 December 2004 (From field only).

terminating event

As Published: 2001

terminating event

(as defined in article 2(1) of the compensation transitionals order ) in relation to applications made under an investment business compensation scheme , the withdrawal, discontinuance or rejection of…

cross border services

As Published: 2001

cross border services

(1) (in relation to a UK firm ) services provided within an EEA State other than the United Kingdom under the freedom to provide services. (2) (in relation to an incoming EEA firm or an incoming Treat…

UK parent financial holding company in a Member State

As Published: 2006

UK parent financial holding company in a Member State

19 a parent financial holding company in a Member State where the EEA State in question is the United Kingdom .

business offer document

As Published: 2003

business offer document

9 an offer document for a regulated mortgage contract that is for a business purpose.

reporting accountant

As Published: 2001

reporting accountant

an accountant appointed: (a) by the FSA ; or (b) by a firm , having been nominated or approved by the FSA under section 166 of the Act (Reports by skilled persons); or (c) by an applicant for Part IV…

FX exposure limit

As Published: 2002

FX exposure limit

(in ELM ) (in relation to an ELMI ) the amount by which the ELMI's own funds exceed 3% of its e-money outstandings , calculated in accordance with ELM 3.4 (Foreign exchange risk). 4…

standing independent valuer

As Published: 2001

standing independent valuer

the person appointed as such under COLL 5.6.20 R (Standing independent valuer and valuation) and COLL 8.4.13R (1) (Standing independent valuer and valuation) or, as the case may be, CIS 12.3.1 R ( Sta…

complaints scheme

As Published: 2001

complaints scheme

the arrangements made by the FSA under paragraphs 7 and 8 of Schedule 1 to the Act (The Financial Services Authority) for the investigation of complaints against the FSA arising in connection with the…

units in existence

As Published: 2001

units in existence

(in CIS ) (in relation to an AUT ) all units which are in issue and any units which the trustee is obliged to issue , less any units which the trustee is obliged to cancel. 2…

disclosure obligations

As Published: 2007

disclosure obligations

39 (in REC ) the initial, ongoing and ad hoc disclosure requirements contained in the relevant articles and given effect: (1) in the United Kingdom by Part 6 of the Act and Part 6 rules (within the me…

pension wrapper

As Published: 2007

pension wrapper

52 (in the cancellation rules ( COBS 15 )) a SIPP , pension contract or personal pension product .

CTF bank account

As Published: 2004

CTF bank account

24 a bank account which fulfils the requirements of Regulation 11(5) of the CTF Regulations .

authorised unit trust manager

As Published: 2001

authorised unit trust manager

4 a manager of an AUT .

commodity simplified approach

As Published: 2006

commodity simplified approach

48 the method of calculating the commodity PRR in BIPRU 7.4.24 R (Simplified approach).

permitted activity

As Published: 2001

permitted activity

(1) (except in 33 SUP 13A 33 and SUP 14 ) a regulated activity which a firm has permission to carry on. (2) (in 33 SUP 13A 33 and SUP 14 ) an activity identified in a consent notice, a regulator's not…

mortgage administrator

As Published: 2003

mortgage administrator

11 12 a firm with permission (or which ought to have permission ) for administering a regulated mortgage contract .

linked liabilities

As Published: 2007

linked liabilities

29 property-linked liabilities or index-linked liabilities .

DTR 1A.4 Fees

As Published: 2007

DTR 1A.4 Fees

intermediate rate of return

As Published: 2007

intermediate rate of return

68 (in COBS ) the intermediate rate of return described in paragraph 2.3 of the projection rules ( COBS 13 Annex 2 ).

banking and investment services conglomerate

As Published: 2006

banking and investment services conglomerate

23 a financial conglomerate that is identified in paragraph 4.3 of GENPRU 3 Annex 1 (Types of financial conglomerate) as a banking and investment services conglomerate .