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

controlled activity

    (in accordance with section 21(9) of the Act (The classes of activity and investment)) any of the following activities specified in Part 1 of Schedule 1 to the Financial Promotions Order (Controlled Activities):

      1. (a) accepting deposits (paragraph 1)
      1. (b) effecting contracts of insurance (paragraph 2(1)):
      1. (c) carrying out contracts of insurance (paragraph 2(2));
      1. (d) dealing in securities and contractually based investments as principal or agent (paragraph 3(1));
      1. (e) arranging (bringing about) deals in investments (paragraph 4(1));
      1. (f) making arrangements with a view to transactions in investments (paragraph 4(2));
      1. (g) managing investments (paragraph 5);
      1. (h) safeguarding and administering investments (paragraph 6);
      1. (i) advising on investments (paragraph 7);
      1. (j) advising on syndicate participation at Lloyd's (paragraph 8);
      1. (k) providing funeral plan contracts (paragraph 9);
      1. (l) providing qualifying credit (paragraph 10);
      1. (m) arranging qualifying credit etc. (paragraph 10A -coming into force 31st October 2004);
      1. (n) advising on qualifying credit etc. (paragraph 10B -coming into force 31st October 2004312);
      1. (o) agreeing to carry on specified kinds of activity (paragraph 11) which are specified in paragraphs 3 to 10 (10B from 31 October 2004) of Part 1 of Schedule 1 to the Financial Promotion Order.