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

linked long-term

As Published: 2001

linked long-term

(in relation to a contract of insurance ) a long-term insurance contract 24 where the benefits are wholly or partly to be determined by reference to the value of, or the income from, property of any d…

SFTR

As Published: 2016

SFTR

155 Securities Financing Transactions Regulation .

with-profits committee

As Published: 2007

with-profits committee

13 a committee: 23 (a) the majority of the members of which are independent of the firm , or, where there is an equal number of independent and non-independent members, which is chaired by a person wh…

insurance-related capital requirement

As Published: 2004

insurance-related capital requirement

32 a component of the calculation of the ECR for a firm carrying on general insurance business as set out in INSPRU 1.1.76 R to INSPRU 1.1.79 R 52 .

financial sector

As Published: 2004

financial sector

(1) (subject to (2)) one of the banking sector , the insurance sector or the investment services sector . 23 (2) (for the purposes of the definition of financial conglomerate and for any other provisi…

commodity option

As Published: 2001

commodity option

an option relating to a commodity . 3…

per se professional client

As Published: 2007

per se professional client

46 a client categorised as a per se professional client in accordance with COBS 3.5 .

retail SME

As Published: 2006

retail SME

46 (1) (in relation to the IRB approach ) a small or medium sized entity, an exposure to which may be treated as a retail exposure under BIPRU 4.6.2 R (Definition of retail exposures). (2) (in relatio…

EEA-deposit insurer

As Published: 2004

EEA-deposit insurer

24 a Solvency II firm that is a third-country insurance undertaking and 100 that has made a deposit in an EEA State (other than the United Kingdom ) under article 162(2)(e) of the Solvency II Directiv…

aircraft

As Published: 2001

aircraft

4 (in relation to a class of contract of insurance ) the class of contract of insurance , specified in paragraph 5 of Part I of Schedule 1 to the Regulated Activities Order (Contracts of general insur…

credit firm

As Published: 2013

credit firm

151 a firm with permission to carry on a credit-related regulated activity .

RCB 3 Annex 6 Cancellation form

As Published: 2011

RCB 3 Annex 6 Cancellation form

investment manager

As Published: 2007

investment manager

(1) (except in LR ) 64 a person who, acting only on behalf of a client : (a) manages designated investments in an account or portfolio on a discretionary basis under the terms of a discretionary manag…

FCTR 10.2 The FSA’s findings

As Published: 2018

FCTR 10.2 The FSA’s findings

MIPRU Sch 2 Notification requirements

As Published: 2006

MIPRU Sch 2 Notification requirements

registration document

As Published: 2005

registration document

(in Part 6 rules and COBS 11A 178 ) a registration document referred to in PR 2.2.2 R . 31…

recognised scheme

As Published: 2001

recognised scheme

a scheme recognised under: (a) section 264 of the Act (Schemes constituted in other EEA States); or (b) [deleted] 133 (c) section 272 of the Act (Individually recognised overseas schemes). 5…

SERV

As Published: 2001

SERV

the Handbook Guide for service companies. 1 17…

CBTL consumer

As Published: 2016

CBTL consumer

179 (in relation to a buy-to-let credit agreement ) (a) a person acting for purposes which are outside that person's trade, business or profession; or (b) a borrower under a CBTL credit agreement .

EMIR indirect clearing RTS

As Published: 2017

EMIR indirect clearing RTS

124 Commission Delegated Regulation (EU) No 2017/2155 of 22 September 2017 amending Commission Delegated Regulation (EU) No 149/2013 with regard to regulatory technical standards on indirect clearing…