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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).

RSRB permission

As Published: 2011

RSRB permission

96 (in FEES ) an authorisation to carry on one or more regulated sale and rent back activities .

specific non-real time financial promotion

As Published: 2001

specific non-real time financial promotion

a non-real time financial promotion which identifies and promotes a particular investment or service. 5…

administrative expenses

As Published: 2004

administrative expenses

21 has the meaning set out in the insurance accounts rules .

insurance business transfer

As Published: 2001

insurance business transfer

a transfer in accordance with an insurance business transfer scheme . 3…

group ISA

As Published: 2001

group ISA

an individual savings account of which the plan manager is the authorised fund manager , or in the same group as the authorised fund manager , of the authorised fund by reference to units in which the…

debt adjusting

As Published: 2013

debt adjusting

84 a regulated activity of the kind specified in article 39D of the Regulated Activities Order .

asset-related capital requirement

As Published: 2004

asset-related capital requirement

21 a component of the calculation of the ECR for a firm carrying on general insurance business as set out in INSPRU 2.2 37 .

client's best interests rule

As Published: 2007

client's best interests rule

52 COBS 2.1.1 R .

DLG by modification

As Published: 2009

DLG by modification

57 either of the following: (a) a DLG by modification (firm level) ; or (b) a non-UK DLG by modification (DLG level) . ( Guidance about this definition, and its inter-relation with other related defin…

credit-sale agreement

As Published: 2014

credit-sale agreement

157 an agreement for the sale of goods under which the purchase price, or part of it, is payable by instalments, but which is not a conditional sale agreement (see section 189 of the CCA ).

UCITS implementing Directive

As Published: 2011

UCITS implementing Directive

43 Commission Directive (2010/43/EU) of the European Parliament and of the Council implementing Directive 2009/65/EC (UCITS IV) as regards certain provisions concerning organisational requirements, co…

MCD mortgage credit intermediary

As Published: 2015

MCD mortgage credit intermediary

99 in relation to an MCD regulated mortgage contract : (a) an MCD mortgage arranger ; or (b) an MCD mortgage adviser . [Note: article 4(5) and (21) of the MCD ]…

third-country group

As Published: 2004

third-country group

13 a third-country financial conglomerate or a third-country banking and investment group .

decision notice

As Published: 2001

decision notice

a notice issued by the appropriate regulator 158 in accordance with section 388 of the Act (Decision notices). 3…

payment account

As Published: 2018

payment account

159 (in accordance with regulation 2(1) of the Payment Services Regulations ) an account held in the name of one or more payment service users which is used for the execution of payment transactions .

initial commitment

As Published: 2006

initial commitment

52 (for the purposes of BIPRU and in relation to underwriting ) the date specified in BIPRU 7.8.13 R (Time of initial commitment).

Payment Accounts Regulations

As Published: 2016

Payment Accounts Regulations

147 Accounts Regulations 2015 (SI 2015/2038).

regulated market transaction

As Published: 2007

regulated market transaction

52 a transaction concluded by a firm on a regulated market with another member or participant of that regulated market .

mixed insurer

As Published: 2006

mixed insurer

35 an insurer (other than a pure reinsurer ) which carries on reinsurance business and where one or more of the following conditions is met in respect of its reinsurance acceptances: (a) the premiums…

firm details

As Published: 2018

firm details

117 the information relating to a firm held by the appropriate regulator on the matters set out in SUP 16 Annex 16A .