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Law360: The Financial Conduct Authority said on 10 December 2024 that it will not return to the 'light touch' regulation from before the 2008...
Two car-finance lenders, FirstRand Bank and Close Brothers, have been granted permission from the Supreme Court to appeal a landmark ruling that found...
Law360, London: A London court on 10 December 2024 began a judicial review of the Financial Conduct Authority's (FCA) decision not to rethink its...
The Financial Conduct Authority (FCA) has published its findings on the review into firms’ approaches to complaints and root cause analysis,...
Law360, London: An insurance industry trade body said on 9 December 2024 that the sector increased its senior management-level representation of women...
OEIC authorisation and winding-upThis Practice Note introduces the key concepts for an open ended investment company (OEIC), also known as an...
Undertakings for Collective Investment in Transferable Securities (UCITS)—essentialsThis Practice Note explores key elements of the Directive...
The UK Long-Term Asset Fund (LTAF)This Practice Note explores a type of Financial Conduct Authority (FCA) authorised fund, the long-term asset fund...
Funds—glossary of termsThis glossary contains summaries and definitions of some of the key investment funds terms and phrases, including relevant tax...
Changing the authorised corporate director of an open-ended investment companyThis Practice Note examines the key regulatory requirements and issues...
Environmental Targets for a Limited Partnership Agreement (Stella & Flora’s Clause) (The Chancery Lane Project)Additional/Amended Recital:[Name of...
Retained EU law—training materials [Archived]ARCHIVED: This Precedent has been archived and is not maintained.These training materials consist of...
Model discretionary investment management agreementThe model discretionary investment management agreement can be found on the Investment...
Specimen Dealing CodeThis Precedent is a memorandum that sets out the details of the ‘specimen’ dealing code. The specimen dealing code is the product...
Specimen Group-Wide Dealing PolicyThis precedent memorandum sets out a ‘specimen’ group-wide dealing policy published by The Chartered Governance...
The Money Laundering Reporting Officer (MLRO)This Practice Note provides information on the role of the nominated officer and the Money Laundering...
Financial Conduct Authority—Principles for Businesses (PRIN)This Practice Note explains the Principles for Businesses (PRIN) set down by the Financial...
Second charge mortgage regimeSecond charge mortgages definedA regulated second charge mortgage is a loan secured on a borrower’s property that is used...
Financial Conduct Authority—objectives and principlesThe role of the FCAThe Financial Conduct authority (FCA) forms part of the regulatory structure...
Accepting depositsBackground to the regulated activity of accepting depositsUnder section 19Â of the Financial Services and Markets Act 2000 (FSMA...
What is electronic money?BREXIT: 11pm (GMT) on 31 December 2020 (‘IP completion day’) marked the end of the Brexit transition/implementation period...
Fund management—Cayman Islands—Q&A guideThis Practice Note contains a jurisdiction-specific Q&A guide to fund management in Cayman Islands published...
Insurance conduct regulation—COBS and ICOBSBREXIT: 11pm (GMT) on 31 December 2020 (‘IP completion day’) marked the end of the Brexit...
Non-UCITS retail schemes (NURS)This Practice Note explores non-UCITS retail schemes (NURS) and comments on investment powers, new rules on NURS...
Complying with the collective investment schemes sourcebook (COLL)The Financial Conduct Authority’s Collective Investment Schemes Sourcebook (COLL) is...
Different types of short sellingShort selling: the two key typesRegulation (EU) 236/2012 (OJ L 86/1) (the EU Short Selling Regulation) came into force...
What are regulated activities?Under the general prohibition a person cannot carry out a regulated activity, or purport to carry out a regulated...
Multilateral Trading Facilities (MTFs)BREXIT: 11pm (GMT) on 31 December 2020 (‘IP completion day’) marked the end of the Brexit...
Regulated activities relating to dormant assetsBackground to regulated activities relating to handling dormant assetsUnder section 19 of the Financial...
UK regulation of payment services providers—essentialsScope of this Practice NoteThe Payment Services Regulations 2017, SI 2017/752 (PSRs 2017)...
Unregulated collective investment schemes—essentialsWhat are unregulated collective investment schemes?In the UK, an unregulated collective investment...
Complaints handling by financial services firmsCORONAVIRUS (COVID-19): The FCA has issued a statement setting out its expectations on complaints...
A regulated activity carried on by an exempt professional firm.
These are financial advisers who are able to recommend products from a limited number of providers.
For UK tax purposes, a fund'>mutual fund within the meaning of section 355(1) of the Taxation (International and Other Provisions) Act 2010 (TIOPA 2010).