PART 6MISCELLANEOUS
Construction of documents etc.28.
As from the effective time and save as otherwise provided in this Order—
(a)
agreements made or other things done by or in relation to Kaupthing shall be treated, so far as may be necessary for the purposes of or in connection with the first transfer or the second transfer (but not otherwise) as made or done by or in relation to Deposits Management (Edge) or ING or both, as the case may be and as the context requires;
(b)
references to Kaupthing or to any officer or employee of Kaupthing in instruments or documents relating to the transferred rights and liabilities and rights and liabilities transferred under the second transfer, shall have effect as if they were references to Deposits Management (Edge) or ING or both, or to any officer or employee of Deposits Management (Edge) or ING, as the case may be and as the context requires.
Modification to Authority’s rule-making power29.
(1)
“or for the purposes of, to facilitate or in consequence of, a transfer under section 6 or section 8 of the Banking (Special Provisions) Act 2008”.
(2)
(a)
in the absence of an application by a person subject to rules made by the Authority; and
(b)
without any requirement for the consent of such a person.
(3)
Modification to Authority’s duty to consult on rule changes30.
(1)
“or if it is making rules for the purposes of, or to facilitate or in consequence of, a transfer under section 6 or section 8 of the Banking (Special Provisions) Act 2008.”
(2)
“(3A)
Section 155(7) applies to proposed guidance as it applies to proposed rules with the modification made by article 30 of the Kaupthing Singer & Friedlander Limited Transfer of Certain Rights and Liabilities Order 2008.”.
Freedom of information31.
Proceedings against directors32.
(1)
No director of—
(a)
Kaupthing; or
(b)
Deposits Management (Edge),
shall be liable in connection with the first transfer or the second transfer or any other provisions of this Order and accordingly no proceedings may be brought (or, in Scotland, raised) against any such director in respect of such matters.
(2)
The Treasury may in writing—
(a)
waive the effect of paragraph (1), and
(b)
give consent to bring (or, in Scotland, raise) such proceedings against such directors.
(3)
(4)
In this article—
“director” means a person who was a director immediately before the effective time, whether or not he has ceased to be a director at the time when proceedings in respect of that liability commenced;
“proceedings” includes proceedings under Part 11 of the Companies Act 2006 (derivative claims and proceedings by members).
Immunity of Bank33.
(1)
The Bank has immunity in relation to action or inaction in relation to or pursuant to this Order.
(2)
In this article—
(a)
a reference to the Bank is a reference to the Bank and anyone who acts or purports to act as a director, officer, servant or agent of the Bank;
(b)
“immunity” means immunity from liability in damages.
(3)
The immunity does not extend to action taken—
(a)
in bad faith, or
(b)
Transfer of data34.
Any transfer of data under this Order is not to be taken to breach any restriction on disclosure of information, however imposed.