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The Financial Services and Markets Act 2000 (Amendment) (EU Exit) Regulations 2019 is up to date with all changes known to be in force on or before 21 November 2024. There are changes that may be brought into force at a future date.
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CHAPTER 3 Part 4A of the Act: permission to carry on regulated activities
16.Section 55J (variation and cancellation of Part 4A permission: general)
17.Section 55K (variation and cancellation of Part 4A permission: investment firms)
18.Section 55KA (variation and cancellation of Part 4A permission: insurance undertakings etc.)
20.Section 55Q (exercise of power in support of overseas regulator)
CHAPTER 4 Part 5 of the Act: performance of regulated activities
CHAPTER 7 Part 11 of the Act: information gathering and investigations
43.Section 165A (PRA's power to require information: financial stability)
44.Section 167 (appointment of persons to carry out general investigations)
45.Section 168 (appointment of persons to carry out investigations in particular cases)
46.Section 169 (investigations etc. in support of overseas regulator)
47.Section 169A (support of overseas regulator with respect to financial stability)
CHAPTER 8 Part 12 of the Act: control over authorised persons
CHAPTER 9 Part 12A of the Act: powers exercisable in relation to parent undertakings
CHAPTER 11 Part 20 of the Act: provision of financial services by members of the professions
CHAPTER 14 Part 26 of the Act: notices
75.Section 391A (publication: special requirements relating to capital requirements directive)
76.Section 391B (publication: special provisions relating to the transparency obligations directive)
77.Section 391C (publication: special provisions relating to the UCITS directive)
78.Section 391D (publication: special provisions relating to the markets in financial instruments directive)
79.Section 391E (publication: special provisions relating to the insurance distribution directive)
CHAPTER 18 Schedule 1ZA to the Act: the Financial Conduct Authority
CHAPTER 19 Schedule 1ZB to the Act: the Prudential Regulation Authority
CHAPTER 22 Schedule 12 to the Act: transfer schemes: certificates
PART 3 Amendments to the Financial Services and Markets Act 2000 (Regulated Activities) Order 2001
128.Article 33B (provision of information – contracts of insurance)
129.Article 35 (international securities self-regulating organisations)
133.Article 51ZB (acting as trustee or depositary of a UCITS)
134.Article 51ZD (acting as trustee or depositary of an AIF)
135.Article 51ZG (operating a collective investment scheme in relation to a UCITS or an AIF)
136.Article 53DA (advising on regulated credit agreements for the acquisition of land)
138.Article 60D (exempt agreements: exemption relating to the purchase of land for non-residential purposes)
139.Article 60E (exempt agreements: exemptions relating to the nature of the lender)
140.Article 60G (exempt agreements: exemptions relating to the total charge for credit)
141.Article 60H (exempt agreements: exemptions relating to the nature of the borrower)
142.Article 60HA (exempt agreements: exemptions not permitted under the mortgages directive)
146.Article 61A (mortgage contracts which are not regulated mortgage contracts)
149.Article 72D (large risks contracts where risk situated outside the EEA)
150.Article 72E (Business Angel-led Enterprise Capital Funds)
159.Article 95 (exclusion from record where not fit and proper to carry on insurance distribution)
160.Schedule 4 (relevant text of the insurance distribution directive)
161.Schedule 8 (persons excluded from regulated activity of managing an AIF)
PART 4 Amendments to the Financial Services and Markets Act 2000 (Financial Promotion) Order 2005
165.Article 8A (interpretation: outgoing electronic commerce communication)
166.Article 10 (application to qualifying contracts of insurance)
168.Article 18A (electronic commerce communications: mere conduits, caching and hosting)
169.Article 20B (incoming electronic commerce communications)
170.Article 25 (relevant insurance activity: non-real time communications: reinsurance and large risks)
171.Article 29 (communications required or authorised by enactments)
173.Article 36 (nationals of EEA States other than United Kingdom)
175.Article 70 (promotions included in listing particulars etc)
176.Schedule 1 (controlled activities and controlled investments)
PART 5 Amendments to other secondary legislation
177.The Financial Services and Markets Act 2000 (Exemption) Order 2001
178.The Financial Services and Markets Act 2000 (Appointed Representatives) Regulations 2001
179.The Financial Services and Markets Act 2000 (Professions) (Non-Exempt Activities) Order 2001
180.The Financial Services and Markets Act 2000 (Service of Notices) Regulations 2001
181.The Financial Services and Markets Act 2000 (Variation of Threshold Conditions) Order 2001
182.The Financial Services and Markets Act 2000 (Own-initiative Power) (Overseas Regulators) Regulations 2001
183.The Financial Services and Markets Act 2000 (Control of Business Transfers) (Requirements on Applicants) Regulations 2001
184.The Financial Services and Markets Act 2000 (Control of Business Done at Lloyd's) Order 2001
185.The Financial Services and Markets Act 2000 (Controllers) (Exemption) Order 2009
186.The Financial Services and Markets Act 2000 (Prescribed Financial Institutions) Order 2013
187.The Financial Services and Markets Act 2000 (Qualifying EU Provisions) Order 2013
188.The Financial Services and Markets Act 2000 (Exercise of Powers under Part 4A) (Consultation with Home State Regulators) Regulations 2013
189.The Financial Services and Markets Act 2000 (PRA-regulated Activities) Order 2013
190.The Financial Services and Markets Act 2000 (Qualifying EU Provisions) (No. 2) Order 2013
191.The Financial Services and Markets Act 2000 (Ring-fenced Bodies and Core Activities) Order 2014
192.The Financial Services and Markets Act 2000 (Excluded Activities and Prohibitions) Order 2014
193.The Financial Services and Markets Act 2000 (Relevant Authorised Persons) Order 2015
PART 7 Transitional Powers of the Financial Regulators
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