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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).

cash assimilated instrument

As Published: 2006

cash assimilated instrument

48 (in accordance with Article 4(35) of the Banking Consolidation Directive (Definitions)) a certificate of deposit or other similar instrument issued by a lending firm .

reversion arranger

As Published: 2006

reversion arranger

42 a firm with permission (or which ought to have permission ) for arranging a home reversion plan .

PR Sch 2 [to follow]

As Published: 2009

PR Sch 2 [to follow]

apportionment and oversight function

As Published: 2001

apportionment and oversight function

4 FCA controlled function 183 CF8 in 150 the table of FCA controlled functions , 183 described more fully in SUP 10A.7.1 R 183 .

repurchase agreement

As Published: 2006

repurchase agreement

46 see repurchase transaction .

Prospectus Directive

As Published: 2005

Prospectus Directive

27 the Directive of the European Parliament and of the Council of 4 November 2003 on the prospectus to be published when securities are offered to the public or admitted to trading (No 2003/71/EC).

work-related insurance

As Published: 2010

work-related insurance

18 work-related insurance, including: (a) life assurance; (b) long term disability insurance (also known as permanent health insurance); and (c) accidental death, injury, critical illness, medical, de…

scientific research based company

As Published: 2005

scientific research based company

(in LR ) a company primarily involved in the laboratory research and development of chemical or biological products or processes or any other similar innovative science based company. 34…

overall liquidity adequacy rule

As Published: 2009

overall liquidity adequacy rule

40 BIPRU 12.2.1R.

reasonable assurance engagement

As Published: 2011

reasonable assurance engagement

164 a 'reasonable assurance engagement' as described in the Glossary of terms in Financial Reporting Council: Audit and Assurance: Standards and Guidance 2014.

MiFID RTS 28

As Published: 2017

MiFID RTS 28

118 Commission Delegated Regulation (EU) 2017/576 of 8 July 2016 supplementing MiFID with regard to regulatory technical standards for the annual publication by investment firms of information on the…

third country issuer

As Published: 2007

third country issuer

29 an issuer which does not have its registered office in the EEA . 40 [Note: article 2(4) of the MiFID Regulation ]…

PIA Ombudsman scheme

As Published: 2001

PIA Ombudsman scheme

5 the former scheme set up by PIA under the Financial Services Act 1986 and operated by the PIA Ombudsman Bureau Ltd to handle complaints against members of PIA .

Third Non-Life Directive

As Published: 2001

Third Non-Life Directive

the Council Directive of 18 June 1992 on the coordination of laws, etc, and amending Directives 73/239/EEC and 88/357/EEC (No 92/49/EEC). 3…

reinsurance to close

As Published: 2001

reinsurance to close

(a) an agreement under which members of a syndicate in one syndicate year ("the reinsured members") agree with the members of that syndicate in a later syndicate year or the members of another syndica…

unrated position

As Published: 2006

unrated position

19 (for the purposes of BIPRU 9 (Securitisation), in accordance with Part 1 of Annex IX of the Banking Consolidation Directive (Securitisation definitions) and in relation to a securitisation position…

IDD POG Regulation

As Published: 2018

IDD POG Regulation

160 Commission Delegated Regulation (EU) 2017/2358 of 21 September 2017, supplementing the IDD of the European Parliament and of the Council with regard to product oversight and governance requirement…

IRB permission

As Published: 2006

IRB permission

126 an Article 129 implementing measure , a requirement or a waiver that requires a BIPRU firm or a CAD investment firm to use the IRB approach .

regulated clearing arrangement

As Published: 2013

regulated clearing arrangement

124 as the context requires, either: (a) an arrangement under which a firm directly places client money in a client transaction account that is an individual client account or an omnibus client accoun…

SUP 16 Annex 27B [deleted]

As Published: 2010

SUP 16 Annex 27B [deleted]