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 2104-01-01.

Timeline guidance

Alternative versions

  1. Point in time
    2104-01-01

ICOBS 2.6 Distribution of connected contracts through exempt persons

ICOBS 2.6.1R
  1. (1)

    1Where an insurance distributor is distributing through a person relying on the connected contracts exemption in article 72B of the Regulated Activities Order, the insurance distributor must ensure that the requirements in (2) are met.

  2. (2)

    The requirements referred to in (1) are:

    1. (a)

      SYSC 19F.2 (Remuneration and insurance distribution activities);

    2. (b)

      ICOBS 2.2.2R and ICOBS 2.2.2AR (Clear, fair and not misleading rule and marketing communications);

    3. (c)

      ICOBS 2.5.-1R (Customer’s best interests);

    4. (d)

      ICOBS 4.1.2R(1)(a) and (c) (Status disclosure: general information provided by insurance intermediaries or insurers);

    5. (e)

      ICOBS 5.2 (Demands and needs);

    6. (f)

      ICOBS 6.1.5R(4) (Ensuring customers can make an informed decision: the appropriate information rule);

    7. (g)

      ICOBS 6.1.10AR (How must IPID information be provided?) (see also ICOBS 6.1.10BG); and

    8. (h)

      ICOBS 6A.3 (Cross-selling).

[Note: article 1(4) of the IDD]

ICOBS 2.6.2G

1To comply with the relevant chapter of SYSC or Principle 3, an insurance distributor will need to have appropriate arrangements in place to ensure compliance with ICOBS 2.6.1R.