Reset to Today

To access the FCA Handbook Archive choose a date between 1 January 2001 and 31 December 2004.

Content Options:

Content Options

View Options:


You are viewing the version of the document as on 2022-12-01.

Timeline guidance

FEES 4 Annex 14 UKLA periodic fees for the period from 1 April 2022 to 31 March 202393

R

1

Part 1 Base fee

Activity group or invoice code (Note 1)

Description

Base fee payable (£)

E.1

Discontinued

E.2

Premium listed issuer

A listed issuer of equity shares and certificates representing shares4 with a premium listing (see Note 2)

6,03710

897635

E.3

Standard listed issuer

A listed issuer of shares and certificates representing certain securitieswith a standard listing and not with a premium listing (see Note 2)

22,87110

8973556

E.4

Discontinued

E.5

Discontinued

E.6

Non-listed issuer (in DTR)

A non-listed issuer (in DTR)

07

8

E.7

Primary information provider

A primary information provider

19,08710

897653

ES.01

Sponsor

A sponsor (see Note 3)

31,79410

897653

Notes

Note 1

The ‘E’ activity groups are codes that appear on FCA invoices for periodic fees.

Note 2

A listed issuer of shares and certificates representing certain securities need not pay periodic fees if the following conditions apply:

(1) the listed issuer, or a related entity, has already paid a periodic fee in respect of the period concerned; or

(2) the listed issuer is subject to listing rules as a result of a reverse takeover; or

(3) the listed issuer is a newly formed entity, created as a result of a restructuring.

Note 3

In the case of approval of a sponsor following a change of legal status in accordance with FEES 3 Annex 1R Part 7, the balance of the fees otherwise due from the original sponsor is due from the sponsor that is a result of the change of legal status.

Part 2 Variable fee additional to base fee

Activity Group

Market capitalisation as at the last business day of the September8 prior to the fee-year in which the fee is payable in £million

Fee payable in £per £million or £part million

E.2

Premium listed issuer (as described in Part 1)

0 - 100

07

8

> 100 - 250

33.30296610

8976523

> 250 – 1,000

12.84926610

8976523

> 1,000 – 5,000

7.90925010

8796523

> 5,000 – 25,000

0.19293010

8976523

> 25,000

0.06233110

8976523