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There are currently no known outstanding effects for the The Financial Services and Markets Act 2000 (Transitional Provisions) (Authorised Persons etc.) Order 2001, Section 3.
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Valid from 01/12/2001
3.—(1) Any person who immediately before commencement was authorised under section 25 of the Financial Services Act is to be treated as having, at commencement, a Part IV permission to carry on regulated activities of a kind which, and on a scale which, and in relation to persons for whom he was, immediately before commencement—
(a)by reason of that authorisation, able to carry on in the United Kingdom without contravening section 3 of the Financial Services Act; and
(b)able to carry on there without contravening any rules made under section 48(2)(a) or (b) of that Act.
(2) The reference in paragraph (1) to the regulated activities which immediately before commencement the person was able to carry on “by reason of” his authorisation under section 25 of the Financial Services Act does not include a reference to any activity—
(a)as respects which he was then also an exempted person; or
(b)as respects which he was then also an authorised person by virtue of section 24 or 24A of that Act.
(3) Where immediately before commencement a person would have been authorised under section 25 of the Financial Services Act but for the suspension of his authorisation under section 28 of that Act, paragraph (1) applies as if the authorisation had not been suspended.
(4) Where paragraph (3) applies, the suspension has effect after commencement as if it were a requirement—
(a)imposed under section 43; and
(b)framed so as to expire when (but for the repeal of the Financial Services Act) the suspension would have expired,
that the person refrain from carrying on any activity which, under paragraphs (1) to (3), he has by virtue of the suspended authorisation a Part IV permission to carry on.
Commencement Information
I1Art. 3 in force at 20.7.2001 for specified purposes, see art. 1(2)(b)
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