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

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oil market participant

a firm:

  1. (a) whose permission:
    1. (i) includes a requirement that the firm must not carry on any designated investment business other than oil market activity; and
    2. (ii) does not include a requirement that it comply with IPRU(INV) 5 (Investment management firms) or 13 (Personal investment firms); and
  2. (b) which is not an authorised professional firm, bank, BIPRU investment firm,29 building society, credit union, friendly society, ICVC, insurer, ISD investment firm , media firm, service company, insurance intermediary, mortgage administrator 11, mortgage intermediary, mortgage lender , incoming EEA firm (without a top-up permission), or incoming Treaty firm (without a top-up permission).4211