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There are currently no known outstanding effects for the The Open-Ended Investment Companies Regulations 2001, Section 27.
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27.—(1) A direction takes effect—
(a)immediately, if the notice given under paragraph (3) states that that is the case;
(b)on such date as may be specified in the notice; or
(c)if no date is specified in the notice, when the matter to which it relates is no longer open to review.
(2) A direction may be expressed to take effect immediately (or on a specified date) only if the Authority, having regard to the ground on which it is exercising its power under regulation 25, considers that it is necessary for the direction to take effect immediately (or on that date).
(3) If the Authority proposes to give a direction under regulation 25, or gives such a direction with immediate effect, it must give separate written notices to the company and its depositary.
(4) The notice must—
(a)give details of the direction;
(b)inform the person to whom it is given of when the direction takes effect;
(c)state the Authority’s reasons for giving the direction and for its determination as to when the direction takes effect;
(d)inform the person to whom it is given that he may make representations to the Authority within such period as may be specified in it (whether or not he has referred the matter to the [F1Upper Tribunal]); and
(e)inform him of his right to refer the matter to the [F1Upper Tribunal].
(5) If the direction imposes a requirement under regulation 25(2)(a) or (b), the notice must state that the requirement has effect until—
(a)a specified date; or
(b)a further direction.
(6) If the direction imposes a requirement under regulation 25(2)(d) or (e), the petition must be presented (or, as the case may be, the company must be wound up)—
(a)by a date specified in the notice; or
(b)if no date is specified, as soon as possible.
(7) The Authority may extend the period allowed under the notice for making representations.
(8) If, having considered any representations made by a person to whom the notice was given, the Authority decides—
(a)to give the direction in the way proposed, or
(b)if it has been given, not to revoke the direction,
it must give separate written notices to the company and its depositary.
(9) If, having considered any representations made by a person to whom the notice was given, the Authority decides—
(a)not to give the direction in the way proposed,
(b)to give the direction in a way other than that proposed, or
(c)to revoke a direction which has effect,
it must give separate written notices to the company and its depositary.
(10) A notice given under paragraph (8) must inform the person to whom it is given of his right to refer the matter to the [F2Upper Tribunal].
(11) A notice under paragraph (9)(b) must comply with paragraph (4).
(12) If a notice informs a person of his right to refer a matter to the [F3Upper Tribunal], it must give an indication of the procedure on such a reference.
(13) This regulation applies to the variation of a direction on the Authority’s own initiative as it applies to the giving of a direction.
(14) For the purposes of paragraph (1)(c), whether a matter is open to review is to be determined in accordance with section 391(8) of the Act.
(15) Section 395 of the Act [F4(the FCA’s and PRA’s procedures)] has effect as if subsection (13) included a reference to a notice given in accordance with paragraph (3), (8) or (9)(b).
Textual Amendments
F1Words in reg. 27(4)(d)(e) substituted (6.4.2010) by The Transfer of Tribunal Functions Order 2010 (S.I. 2010/22), art. 1(2)(f), Sch. 3 para. 22
F2Words in reg. 27(10) substituted (6.4.2010) by The Transfer of Tribunal Functions Order 2010 (S.I. 2010/22), art. 1(2)(f), Sch. 3 para. 22
F3Words in reg. 27(12) substituted (6.4.2010) by The Transfer of Tribunal Functions Order 2010 (S.I. 2010/22), art. 1(2)(f), Sch. 3 para. 22
F4Words in reg. 27(15) substituted (1.4.2013) by The Financial Services Act 2012 (Consequential Amendments and Transitional Provisions) Order 2013 (S.I. 2013/472), Sch. 2 para. 41(7)
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