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Article 2
Provisions of Act | Subject matter of provisions |
---|---|
Section 3. | Persons entitled to carry on investment business. |
Section 4. | Offences. |
Section 5 insofar as not yet in force. | Agreements made by or through unauthorised persons. |
Section 6. | Injunctions and restitution orders. |
Section 7. | Authorisation by membership of recognised self-regulating organisations. |
Section 15 insofar as not yet in force. | Authorisation by certification by recognised professional body. |
Section 22. | Authorised insurers. |
Section 23. | Registered friendly societies. |
Section 24 insofar as is necessary for the purposes of paragraph 10 of Schedule 15 to the Act. | Operators and trustees of recognised collective investment schemes. |
Section 25. | Authorisation by the Secretary of State. |
Section 31 insofar as not yet in force. | Authorisation in another member State. |
Section 32. | Notice of commencement of business by person authorised by virtue of section 31. |
Section 33. | Termination and suspension of authorisation by virtue of section 31. |
Section 34. | Notice of proposed termination or suspension of authorisation by virtue of section 31. |
Section 35 insofar as not yet in force. | The Bank of England. |
Section 36 insofar as not yet in force. | Investment exchanges. |
Section 38 insofar as not yet in force. | Clearing houses. |
Section 42 insofar as not yet in force. | Lloyd's. |
Section 44 insofar as not yet in force. | Appointed representatives. |
Section 45 insofar as not yet in force. | Miscellaneous exemptions. |
Section 47. | Misleading statements and practices. |
Section 56 insofar as not yet in force. | Unsolicited calls. |
Section 58, except section 58(1)(d)(ii) insofar as it relates to an advertisement required or permitted to be published by an approved exchange under Part V of the Act, and except section 58(2). | Exceptions from restrictions on advertising. |
Section 59. | Employment of prohibited persons. |
Section 60. | Public statement as to person’s misconduct. |
Section 61. | Injunctions and restitution orders. |
Section 64. | Powers of intervention — scope of powers. |
Section 65. | Restriction of business. |
Section 66. | Restriction on dealing with assets. |
Section 67 | Vesting of assets in trustee. |
Section 68. | Maintenance of assets in United Kingdom. |
Section 69. | Recission and variation. |
Section 70. | Notices. |
Section 71. | Breach of prohibition or requirement. |
Section 72. | Winding up orders. |
Section 73. | Winding up orders: Northern Ireland. |
Section 74. | Administration orders. |
Section 75. | Collective investment schemes: interpretation. |
Section 77. | Applications for authorisation. |
Section 78 | Authorisation orders. |
Section 79. | Revocation of authorisation. |
Section 80. | Representations against refusal or revocation. |
Section 81. | Constitution and management. |
Section 82. | Alteration of schemes and changes of manager or trustee. |
Section 83. | Restrictions on activities of manager. |
Section 84. | Avoidance of exclusion clauses. |
Section 85. | Publication of scheme particulars. |
Section 86 insofar as is necessary for the purposes of paragraph 10 of Schedule 15 to the Act. | Schemes constituted in other member States. |
Section 87. | Schemes authorised in designated countries or territories. |
Section 88. | Other overseas schemes. |
Section 89. | Refusal and revocation of recognition. |
Section 90. | Facilities and information in the United Kingdom. |
Section 91. | Directions. |
Section 92. | Notice of directions. |
Section 93. | Applications to the court. |
Section 94. | Investigations. |
Section 95. | Contraventions. |
Section 97. | References to the Tribunal. |
Section 98. | Decisions on references by applicant or authorised person etc. |
Section 99. | Decisions on references by third party. |
Section 100. | Withdrawal of references. |
Section 101. | Reports. |
Section 104 insofar as not yet in force. | Power to call for information. |
Section 108. | Power to call for second audit. |
Section 109. | Communication by auditor with supervisory authorities. |
Section 111. | Offences and enforcement. |
Section 112 insofar as not yet in force. | Application fees. |
Section 113 insofar as not yet in force. | Periodical fees. |
Section 129 except insofar as it relates to paragraph 5(3) and (4) of Schedule 10 to the Act and, except as aforesaid, the provisions of that Schedule not yet in force. | Application of investment business provisions toregulated insurance companies. |
Section 130. | Restriction on promotion of contracts of insurance. |
Section 131. | Contracts made after contravention of section 130. |
Section 132 insofar as not yet in force. | Insurance contracts effected in contravention of the Insurance Companies Act 1982(1). |
Section 133. | Misleading statements as to insurance contracts. |
Section 135. | Communication by auditor with Secretary of State. |
Section 136. | Arrangements to avoid unfairness between separate insurance funds etc. |
Section 138 insofar as not yet in force. | Insurance brokers. |
Section 139 insofar as not yet in force. | Industrial assurance. |
Section 140 insofar as not yet in force, but not insofar as it relates to paragraph 17 of Schedule 11 to the Act or to the provisions of Schedule 11 coming into force on 3rd October 1988 and, except as aforesaid, the provisions of that Schedule not yet in force. | Friendly societies. |
Section 154 insofar as not yet in force. | Advertisements etc. issued in connection with listing particulars. |
Section 160 insofar as is necessary to enable the Secretary of State to make an order under that section. | Other offers of securities. |
Section 162 insofar as is necessary to enable the Secretary of State to make rules under that section and insofar as is necessary for the purposes of section 169. | Form and content of prospectus. |
Section 169. | Terms and implementation of offer. |
Section 170 insofar as is necessary to enable the Secretary of State to make an Order under that section. | Advertisements by private companies and old public companies. |
The remaining provisions of section 174 except section 174(4)(a). | Market makers, off-market dealers etc. |
Section 175. | Price stabilisation. |
Section 178 insofar as not yet in force. | Penalties for failure to co-operate with section 177 investigations. |
Section 183 insofar as not yet in force. | Reciprocal facilities for financial business. |
Section 184 insofar as not yet in force. | Investment and insurance business. |
Section 186 insofar as not yet in force. | Variation and revocation of notices. |
Section 194. | Transfers to and from recognised clearing houses. |
Section 197. | Disclosure of interests in shares: interest held by market maker. |
Section 198 insofar as not yet in force. | Power to petition for winding up etc on information obtained under the Act. |
Section 199 insofar as not yet in force. | Powers of entry. |
Section 200 insofar as not yet in force. | False and misleading statements. |
Section 201 insofar as not yet in force. | Prosecutions. |
Section 208 insofar as it has effect in relation to the application of section 130. | Gibraltar. |
Section 211 of and Schedule 15 to the Act insofar as not yet in force. | Transitional provisions. |
Section 212(2) except insofar as it relates to paragraphs 16 and 31 of Schedule 16 to the Act and, except as aforesaid, the provisions of that Schedule not yet in force. | Consequential amendments. |
Section 212(3) of and Schedule 17 to the Act except insofar as they provide for the repeal of, or of words in, the following provisions: | |
(a)such provisions of the Prevention of Fraud (Investments) Act (Northern Ireland) 1940(2) as are necessary for the purposes of paragraph 1(3) of Schedule 15 to the Act as it applies by virtue of paragraph 16 of that Schedule; | |
(b)such provisions of the Prevention of Fraud (Investments) Act 1958(3) as are necessary for the purposes of paragraph 1(3) of Schedule 15 to the Act; | |
(c)the Tribunals and Inquiries Act 1971(4); | |
(d)The House of Commons Disqualification Act 1975(5); | |
(e)The Restrictive Trade Practices (Stock Exchange) Act 1984(6); | |
(f)section 13 of the Company Securities (Insider Dealing) Act 1985(7); | |
(g)to the extent not yet repealed, and except insofar as is necessary to have the effect that those provisions cease to apply to a prospectus offering for subscription, or to any form of application for, units in a body corporate which is a recognised scheme, the provisions of Part III, sections 81 to 87, 97, 449(1)(d), 693, 707 and 744, insofar as it relates to the definition of “prospectus issued generally”, of and Schedules 3, 22 and 24 to the Companies Act 1985(8) and the corresponding provisions of the Companies (Northern Ireland) Order 1986(9); and | |
(h)Section 195 of the Act. |
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