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- Point in Time (03/07/2017)
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Version Superseded: 31/07/2017
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Financial Services and Markets Act 2000, Section 124 is up to date with all changes known to be in force on or before 26 December 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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[F1(1)The FCA must prepare and issue a statement of its policy with respect to the type and level of administrative sanctions it may impose on a relevant person.
(2)The FCA’s policy in determining the type and level of administrative sanctions to be imposed must take into account all relevant circumstances including, where appropriate, the matters referred to in Article 31(1) of the market abuse regulation.]
F2(3). . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
(4)The [F3FCA] may at any time alter or replace a statement issued under this section.
(5)If a statement issued under this section is altered or replaced, the [F3FCA] must issue the altered or replacement statement.
[F4(6)When imposing, or deciding whether to impose, an administrative sanction on a relevant person the FCA must have regard to any statement published under this section in force at the time of the contravention.]
(7)A statement issued under this section must be published by the [F3FCA] in the way appearing to the [F3FCA] to be best calculated to bring it to the attention of the public.
(8)The [F3FCA] may charge a reasonable fee for providing a person with a copy of a statement published under this section.
(9)The [F3FCA] must, without delay, give the Treasury a copy of any statement which it publishes under this section.
[F5(10)In this section—
“administrative sanction” means—
a penalty or statement of censure imposed or published under section 123;
a prohibition imposed under section 123A; or
a suspension or restriction imposed under section 123B; and
“relevant person” means a person—
who has contravened Article 14 (prohibition of insider dealing and of unlawful disclosure of inside information) or Article 15 (prohibition of market manipulation) of the market abuse regulation;
who has contravened, or been knowingly concerned in the contravention of—
a provision of the market abuse regulation other than Article 14 or 15 of that regulation; or
a provision of a supplementary EU regulation; or
who has contravened—
any requirement imposed on the person under section 122A, 122B, 122C, 122G, 122H, 122I, [F6122IA,] 123A or 123B; or
in the case of a person other than an authorised person, any requirement relating to the market abuse regulation or a supplementary EU regulation imposed on the person under Part 11.]
Textual Amendments
F1S. 124(1)(2) substituted (3.7.2016) by The Financial Services and Markets Act 2000 (Market Abuse) Regulations 2016 (S.I. 2016/680), regs. 1, 9(6)(a)
F2S. 124(3) omitted (3.7.2016) by virtue of The Financial Services and Markets Act 2000 (Market Abuse) Regulations 2016 (S.I. 2016/680), regs. 1, 9(6)(b)
F3Word in ss. 121-130A substituted (1.4.2013) by Financial Services Act 2012 (c. 21), s. 122(3), Sch. 9 para. 9(1)(2) (with Sch. 20); S.I. 2013/423, art. 3, Sch.
F4S. 124(6) substituted (3.7.2016) by The Financial Services and Markets Act 2000 (Market Abuse) Regulations 2016 (S.I. 2016/680), regs. 1, 9(6)(c)
F5S. 124(10) inserted (3.7.2016) by The Financial Services and Markets Act 2000 (Market Abuse) Regulations 2016 (S.I. 2016/680), regs. 1, 9(6)(d)
F6Word in s. 124(10) inserted (29.6.2017 for specified purposes, 3.7.2017 for specified purposes, 31.7.2017 for specified purposes, 3.1.2018 in so far as not already in force) by The Financial Services and Markets Act 2000 (Markets in Financial Instruments) Regulations 2017 (S.I. 2017/701), reg. 1(2)(3)(4)(6), Sch. 2 para. 15 (with reg. 7)
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