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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).

not-for-profit body

As Published: 2013

not-for-profit body

52 a body which by virtue of its constitution or any enactment: (a) is required (after payment of outgoings) to apply the whole of its income, and any capital which it expends, for charitable or publi…

specific costs levy

As Published: 2001

specific costs levy

a levy, forming part of the management expenses levy , to meet the specific costs in the financial year of the compensation scheme to which the levy relates, each participant firm's share being calcul…

home purchase provider

As Published: 2006

home purchase provider

8 a firm with permission (or which ought to have permission ) for entering into a home purchase plan .

debt management client money distribution rules

As Published: 2014

debt management client money distribution rules

87 the rules and guidance in CASS 11.13 .

person with whom a relevant person has a family relationship

As Published: 2007

person with whom a relevant person has a family relationship

52 any of the following: (a) the spouse of the relevant person or any partner of that person considered by national law as equivalent to a spouse; (b) a child or stepchild of the relevant person ; (c)…

tied MCD credit intermediary

As Published: 2015

tied MCD credit intermediary

67 a tied MCD mortgage credit intermediary or a tied MCD article 3(1)(b) credit intermediary . [Note: article 4(7) of the MCD ]…

authorised unit trust scheme

As Published: 2001

authorised unit trust scheme

4 (as defined in section 237(3) of the Act (Other definitions)) a unit trust scheme which is authorised for the purposes of the Act by an authorisation order .

LTICR

As Published: 2004

LTICR

13 long-term insurance capital requirement .

PR Sch 4 Powers exercised

As Published: 2009

PR Sch 4 Powers exercised

IRB exposure class

As Published: 2006

IRB exposure class

52 (in relation to the IRB approach ) one of the classes of exposure set out in BIPRU 4.3.2 R (exposure classes).

mortgage adviser

As Published: 2003

mortgage adviser

11 12 a firm with permission (or which ought to have permission ) for advising on regulated mortgage contracts .

linked policyholders

As Published: 2007

linked policyholders

29 policyholders under a linked long-term contract.

suitability report

As Published: 2007

suitability report

49 a report which a firm must provide to its client under COBS 9.4 54 (Suitability reports) which, among other things, explains why the firm has concluded that a recommended transaction is suitable fo…

Financial Groups Directive

As Published: 2004

Financial Groups Directive

9 Directive 2002/87/EC of the European Parliament and of the Council of 16 December 2002 on the supplementary supervision of credit institutions, insurance undertakings and investment firms in a finan…

REC TP 1 Transitional provisions

As Published: 2005

REC TP 1 Transitional provisions

PROF Sch 3 Fees and other required payments

As Published: 2004

PROF Sch 3 Fees and other required payments

lower rate of return

As Published: 2007

lower rate of return

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

banking and investment services sector

As Published: 2006

banking and investment services sector

23 (in relation to a financial sector in a consolidation group or a financial conglomerate and in accordance with GENPRU 3.1 (Cross sector groups)), the investment services sector and the banking sect…

enhanced capital requirement

As Published: 2004

enhanced capital requirement

[deleted] 109…

home finance activity

As Published: 2006

home finance activity

8 any home finance mediation activity , home finance providing activity or administering a home finance transaction .