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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).

chargeable case (general)

As Published: 2013

chargeable case (general)

291 a chargeable case that is not a chargeable case (PPI) .

ex-section 43 lead regulated firm

As Published: 2001

ex-section 43 lead regulated firm

an ex-section 43 firm for which the FSA (in its capacity as the regulatory body under section 43 of the Financial Services Act 1986) was lead regulator for financial supervision purposes, and that was…

CASS debt management firm

As Published: 2014

CASS debt management firm

157 a firm which: (a) carries on the activities of debt counselling or debt adjusting , alone or together, with a view to an individual entering into a particular debt solution ; or (b) carries on the…

IFR

As Published: 2016

IFR

141 Regulation (EU) 2015/751 of the European Parliament and of the Council of 29 April 2015 on interchange fees for card-based payment transactions.

non-trading book

As Published: 2006

non-trading book

19 positions, exposures, assets and liabilities that are not in the trading book .

tax exempt policy

As Published: 2001

tax exempt policy

any contract of assurance, offered or issued by a friendly society , which is tax exempt life or endowment business as defined in section 466 (2) of the Income and Corporation Taxes Act 1988. 3…

repo

As Published: 2001

repo

(a) an agreement between a seller and buyer for the sale of securities , under which the seller agrees to repurchase the securities , or equivalent securities , at an agreed date and, usually, at a st…

DEPP Sch 5 Rights of action for damages

As Published: 2009

DEPP Sch 5 Rights of action for damages

offer

As Published: 2001

offer

(1) (in MAR 1 (Market Abuse 82 )) an offer as defined in the Takeover Code . (2) [deleted] 83 18 4 18 (3) (in LR 32 and 32 PR 32 ) an offer of transferable securities to the public . 20…

current market value

As Published: 2006

current market value

48 (in accordance with Part 1 of Annex III of the Banking Consolidation Directive (Definitions) and for the purpose of BIPRU 13.5 (CCR standardised method)) the net market value of the portfolio of tr…

United Kingdom

As Published: 2001

United Kingdom

England and Wales, Scotland and Northern Ireland (but not the Channel Islands or the Isle of Man). 2…

partner function

As Published: 2001

partner function

224 145 FCA controlled function CF4 in Part 1 of the table of FCA controlled functions , described more fully in SUP 10A.6.23 R to SUP 10A.6.27 R . 224 145…

home finance adviser

As Published: 2006

home finance adviser

8 a firm with permission (or which ought to have permission ) for advising on a home finance transaction .

Consolidated Motor Insurance Directive

As Published: 2010

Consolidated Motor Insurance Directive

113 the European Parliament and Council Directive of 16 September 2009 relating to insurance against civil liability in respect of the use of motor vehicles, and the enforcement of the obligation to i…

Business Order

As Published: 2004

Business Order

10 the Financial Services and Markets Act 2000 (Carrying on Regulated Activities by Way of Business Order) 2001 (SI 2001/1177).

made to; made only to; to whom it is made

As Published: 2007

made to; made only to; to whom it is made

47 a financial promotion is made to a person if it is addressed, whether orally or in legible form, to a particular person or person s (for example where it is contained in a telephone call or letter)…

second charge regulated mortgage contract

As Published: 2015

second charge regulated mortgage contract

133 a regulated mortgage contract which is not a first charge legal mortgage .

international accounting standards

As Published: 2004

international accounting standards

29 means the international accounting standards, within the meaning of EC Regulation No. 1606/2002 of the European Parliament and of the Council of 19 July 2002 on the application of international acc…

chief executive function

As Published: 2001

chief executive function

197 FCA controlled function CF3 in Part 1 and Part 2 186 of the table of FCA controlled functions , described more fully in SUP 10A.6.17 R .

non-directive insurer

As Published: 2001

non-directive insurer

an insurer which is not a Solvency II firm . 59…