Related provisions for PERG 2.9.13
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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