Related provisions for PERG 2.7.9
Table: Firms to which SUP 16.23.1R applies (subject to the exclusions in SUP 16.23.1R).4
a UK bank; |
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a non-UK bank;2 |
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a mortgage administrator; or |
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a firm offering life and annuity insurance products. |
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4a firm that has permission to carry on one or more of the following activities: |
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advising on investments, provided that during the relevant financial year the firm: |
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(i) |
held client money under CASS 5 (Client money: insurance distribution activity) and/or CASS 7 (Client money rules); and/or |
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(ii) |
held safe custody assets under CASS 6 (Custody rules); |
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arranging (bringing about deals) in investments, provided that during the relevant financial year the firm: |
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(i) |
arranging (bringing about deals) in investments, provided that during the relevant financial year the firm: |
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(ii) |
held safe custody assets under CASS 6 (Custody rules); |
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assisting in the administration and performance of a contract of insurance in relation to non-investment insurance contracts; |
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establishing, operating or winding up a collective investment scheme; |
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establishing, operating or winding up a personal pension scheme; |
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establishing, operating or winding up a stakeholder pension scheme; |
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a firm that has reported total revenue of £5 million or more as at its last accounting reference date and has permission to carry on one or more of the following activities: |
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This table belongs to IPRU-INV 2.1.1R
TYPE OF BUSINESS ACTIVITY |
CHAPTER OF SOURCEBOOK |
(i) managing investments other than for retail clients; or |
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(ii) OPS activity; or |
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(iii) [deleted] |
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(iv) [deleted] |
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(ivb) managing an AIF; or |
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(v) acting as a residual CIS operator; or |
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(va) establishing, operating or winding up a personal pension scheme; or |
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(i) advising on, or arrangingdeals in, packaged products; or |
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(ii) managing investments for retail clients; |
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(i) a regulated activity carried on as a member of an exchange; or |
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(ii) acting as a market maker in securities or derivatives; or |
Securities and futures firm (which is not a MiFID investment firm) - IPRU-INV 3 |
(iii) corporate finance business; or |
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(iv) dealing or arranging deals in securities or derivatives, other than interprofessional investments; or |
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(v) the provision of clearing services as a clearing firm; or |
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(vi) spread betting; |
Table Controlled activities
1. |
Accepting deposits |
2. |
Effecting and carrying out contracts of insurance |
3. |
Dealing in securities, structured deposits11and contractually based investments |
4. |
Arranging deals in investments |
4A.4 |
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104B. |
Credit broking |
104C. |
Operating an electronic system in relation to lending |
114D. |
Operating an organised trading facility |
5. |
Managing investments10 |
105A. |
Debt adjusting |
105B. |
Debt counselling |
6. |
Safeguarding and administering investments |
7. |
Advising on investments |
8. |
Advising on syndicate participation at Lloyd's |
9. |
Providing funeral plan contracts |
10. |
Providing qualifying credit |
11.3 3 |
Arranging qualifying credit etc |
12.3 3 |
Advising on qualifying credit etc10 |
1012A. |
Providing relevant consumer credit |
1012B. |
Providing consumer hire |
313. |
Providing a home reversion plan |
314. |
Arranging a home reversion plan |
315. |
Advising on a home reversion plan |
316. |
Providing a home purchase plan |
317. |
Arranging a home purchase plan |
318. |
Advising on a home purchase plan |
718A. |
Providing a regulated sale and rent back agreement |
718B. |
Arranging a regulated sale and rent back agreement |
718C. |
Advising on a regulated sale and rent back agreement |
19.3 3 |
Agreeing to do anything in 3 to 18C7 above 37 |