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Financial Services Act 1986 (Repealed), Chapter VI is up to date with all changes known to be in force on or before 15 November 2024. There are changes that may be brought into force at a future date. Changes that have been made appear in the content and are referenced with annotations.
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Modifications etc. (not altering text)
C1Chapters III–XI (ss. 7–111): certain functions transferred by S.I. 1990/354, art. 5
(1)The powers conferred on the Secretary of State by this Chapter shall be exercisable in relation to any authorised person or, except in the case of the power conferred by section 65 below, any appointed representative of his if it appears to the Secretary of State—
(a)that the exercise of the powers is desirable for the protection of investors;
(b)that the authorised person is not fit to carry on investment business of a particular kind or to the extent to which he is carrying it on or proposing to carry it on; or
(c)that the authorised person has contravened any provision of this Act or of any rules or regulations made under it or, in purported compliance with any such provision, has furnished the Secretary of State with false, inaccurate or misleading information or has contravened any prohibition or requirement imposed under this Act.
(2)For the purposes of subsection (1)(b) above the Secretary of State may take into account any matters that could be taken into account in deciding whether to withdraw or suspend an authorisation under Chapter III of this Part of this Act.
(3)The powers conferred by this Chapter may be exercised in relation to a person whose authorisation is suspended under section 28 above or who is the subject of a direction under section 33(1)(b) above and references in this Chapter to an authorised person shall be construed accordingly.
(4)The powers conferred by this Chapter shall not be exercisable in relation to—
(a)an authorised person who is a member of a recognised self-regulating organisation or a person certified by a recognised professional body and is subject to the rules of such an organisation or body in carrying on all the investment business carried on by him; or
(b)an appointed representative whose principal or, in the case of such a representative with more than one principal, each of whose principals is a member of such an organisation or body and is subject to the rules of such an organisation or body in carrying on the investment business in respect of which his principal or each of his principals has accepted responsibility for his activities;
except that the powers conferred by virtue of section 67(1)(b) below may on any of the grounds specified in subsection (1) above be exercised in relation to such a person at the request of any such organisation of which he or, in the case of an appointed representative, any of his principals is a member or any such body by which he or, as the case may be, any of his principals is certified.
Modifications etc. (not altering text)
C2S. 64 applied (with modifications) (15.8.1995) by S.I. 1995/2049, regs. 6, 7-18
C3S. 64(1) amended (1.1.1993) by S.I. 1992/3218, reg. 55, Sch. 9 para.20.
s. 64 modified (1.7.1994) by S.I. 1994/1696, reg. 59(1)
s. 64 modified (1.1.1996) by S.I. 1995/3275, reg. 32, Sch. 7 para. 20
(1)The Secretary of State may prohibit an authorised person from—
(a)entering into transactions of any specified kind or entering into them except in specified circumstances or to a specified extent;
(b)soliciting business from persons of a specified kind or otherwise than from such persons or in a specified country or territory outside the United Kingdom;
(c)carrying on business in a specified manner or otherwise than in a specified manner.
(2)A prohibition under this section may relate to transactions entered into in connection with or for the purposes of investment business or to other business which is carried on in connection with or for the purposes of investment business.
Modifications etc. (not altering text)
C4S. 65(1) amended (1.1.1993) by S.I. 1992/3218, reg. 55, Sch. 9 para.21.
s. 65 modified (1.7.1994) by S.I. 1994/1696, reg. 59(2)
s. 65 extended (1.1.1996) by S.I. 1995/3275, reg. 32, Sch. 7 para.21
s. 65 applied (with modifications) by S.I. 1995/2049, regs. 6, 7-18
(1)The Secretary of State may prohibit an authorised person or appointed representative from disposing of or otherwise dealing with any assets, or any specified assets, of that person or, as the case may be, representative in any specified manner or otherwise than in a specified manner.
(2)A prohibition under this section may relate to assets outside the United Kingdom.
Modifications etc. (not altering text)
C5S. 66 amended (1.1.1993) by S.I. 1992/3218, reg. 55, Sch. 9 para.22.
C6S. 66(1) amended (1.1.1993) by S.I. 1992/3218, reg. 55, Sch. 9 para. 22(a).
s. 66 applied (with modifications) (15.8.1995) by S.I. 1995/2049, regs. 6, 7-18
(1)The Secretary of State may impose a requirement that all assets, or all assets of any specified class or description, which at any time while the requirement is in force—
(a)belong to an authorised person or appointed representative; or
(b)belong to investors and are held by or to the order of an authorised person or appointed representative,
shall be transferred to and held by a trustee approved by the Secretary of State.
(2)Where a requirement is imposed under this section it shall be the duty of the authorised person or, as the case may be, appointed representative to transfer the assets to the trustee and to give him all such other assistance as may be required to enable him to discharge his functions in accordance with the requirement.
(3)Assets held by a trustee in accordance with a requirement under this section shall not be released or dealt with except in accordance with directions given by the Secretary of State or in such circumstances as may be specified by him.
(4)A requirement under this section may relate to assets outside the United Kingdom.
Modifications etc. (not altering text)
C7S. 67 amended (1.1.1993) by S.I. 1992/3218, reg. 55, Sch. 9 para.23.
C8S. 67(1)(b) amended (1.1.1993) by S.I. 1992/3218, reg. 16(3).
(1)The Secretary of State may require an authorised person or appointed representative to maintain in the United Kingdom assets of such value as appears to the Secretary of State to be desirable with a view to ensuring that the authorised person or, as the case may be, appointed representative will be able to meet his liabilities in respect of investment business carried on by him in the United Kingdom.
(2)The Secretary of State may direct that for the purposes of any requirement under this section assets of any specified class or description shall or shall not be taken into account.
Modifications etc. (not altering text)
C9S. 68 applied (with modifications) (15.8.1995) by S.I. 1995/2049, regs. 6, 7-18
The Secretary of State may, either of his own motion or on the application of a person on whom a prohibition or requirement has been imposed under this Chapter, rescind or vary the prohibition or requirement if it appears to the Secretary of State that it is no longer necessary for the prohibition or requirement to take effect or continue in force or, as the case may be, that it should take effect or continue in force in a different form.
Modifications etc. (not altering text)
C10S. 69 applied (12.2.1992) by S.I. 1992/225, reg. 96(5)(6).
s. 69 applied (with modifications) (15.8.1995) by S.I. 1995/2049, regs. 6, 7-18
(1)The power to impose, rescind or vary a prohibition or requirement under this Chapter shall be exercisable by written notice served by the Secretary of State on the person concerned; and any such notice shall take effect on such date as is specified in the notice.
(2)If the Secretary of State refuses to rescind or vary a prohibition or requirement on the application of the person to whom it applies he shall serve that person with a written notice of the refusal.
(3)A notice imposing a prohibition or requirement, or varying a prohibition or requirement otherwise than on the application of the person to whom it applies, and a notice under subsection (2) above shall state the reasons for which the prohibition or requirement was imposed or varied or, as the case may be, why the application was refused.
(4)Where the reasons stated in a notice to which subsection (3) above applies relate specifically to matters which—
(a)refer to a person identified in the notice other than the person to whom the prohibition or requirement applies; and
(b)are in the opinion of the Secretary of State prejudicial to that person in any office or employment,
the Secretary of State shall, unless he considers it impracticable to do so, serve a copy of the notice on that person.
(5)A notice to which subsection (3) above applies shall give particulars of the right to have the case referred to the Tribunal under Chapter IX of this Part of this Act.
(6)The Secretary of State may give public notice of any prohibition or requirement imposed by him under this Chapter and of the rescission and variation of any such prohibition or requirement; and any such notice may, if the Secretary of State thinks fit, include a statement of the reasons for which the prohibition or requirement was imposed, rescinded or varied.
Modifications etc. (not altering text)
C11S. 70(2)-(6) applied (12.2.1992) by S.I. 1992/225, reg. 96(5)(6).
s. 70 applied (with modifications) (15.8.1995) by S.I. 1995/2049, regs. 6, 7-18
(1)Sections 60, 61, and 62 above shall have effect in relation to a contravention of a prohibition or requirement imposed under this Chapter as they have effect in relation to any such contravention as is mentioned in those sections.
(2)In its application by virtue of this section, section 62(2) shall have effect with the substitution—
(a)for the reference to the rules of a recognised self-regulating organisation of a reference to any prohibition or requirement imposed by it in the exercise of powers for purposes corresponding to those of this Chapter; and
(b)for the reference to the rules of a recognised professional body of a reference to any prohibition or requirement imposed in the exercise of powers for such purposes by that body or by any other body or person having functions in respect of the enforcement of the recognised professional body’s rules relating to the carrying on of investment business.
(3)This section is without prejudice to any equitable remedy available in respect of property which by virtue of a requirement under section 67 above is subject to a trust.
Modifications etc. (not altering text)
C12S. 71 restricted (1.11.1992) by S.R. 1980/346, Order 93, rule 7 (as inserted by S.R. 1992/399, rule15).
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