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The Alternative Investment Fund Managers Regulations 2013

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PART 8U.K.Application of provisions of the Act

Application of procedural provisions of the ActU.K.

70.—(1) Part 9 of the Act applies in the case of a matter referred to the Tribunal under these Regulations as it applies in the case of a matter referred to the Tribunal under the Act.

(2) Part 26 of the Act applies to warning notices and decision notices given under these Regulations as it applies to such notices given under the Act.

Application of provisions of the Act to unauthorised AIFMsU.K.

71.—(1) The following provisions of the Act apply in respect of an unauthorised AIFM as they apply in respect of an authorised person—

(a)section 165 M1 (regulators' power to require information: authorised persons etc.);

(b)section 166 M2 (reports by skilled persons);

(c)section 167 M3 (appointment of persons to carry out general investigations);

(d)section 176(3) (entry of premises under warrant);

(e)section 205 M4 (public censure);

(f)section 206 M5 (financial penalties).

(2) The following provisions of the Act apply in relation to the exercise of the powers under the provisions applied by paragraph (1)(a) to (c) as they apply in relation to the exercise of those powers in respect of authorised persons—

(a)section 169 M6 (investigations etc. in support of overseas regulator);

(b)section 170 M7 (investigations: general);

(c)section 171 M8 (powers of persons appointed under section 167);

(d)section 174 M9 (admissibility of statements made to investigators);

(e)section 175 M10 (information and documents: supplemental provisions);

(f)section 176 M11 (entry of premises under warrant);

(g)section 176A M12 (retention of documents taken under section 176);

(h)section 177 M13 (offences).

(3) Sections 207 to 211 of, and paragraph 20 of Schedule 1ZA to, the Act M14 apply in relation to the exercise of the FCA's powers under section 205 or 206 of the Act as applied by paragraph (1)(e) and (f) as they apply in relation to their exercise in respect of authorised persons.

(4) Unauthorised AIFMs are to be treated as regulated persons for the purposes of paragraph 21 of Schedule 1ZA to the Act.

(5) In this regulation “unauthorised AIFM” means a person who is not an authorised person but who is—

(a)a small registered UK AIFM;

(b)a small registered [F1Gibraltar AIFM];

(c)a full-scope [F2Gibraltar AIFM] that is entitled to market an AIF following a notification under regulation 57;

(d)an AIFM that is entitled to market an AIF following a notification under regulation 58;

(e)an AIFM to which the requirement at regulation 59(3) applies; F3...

(f)a full-scope [F4Gibraltar AIFM] that is exercising a right to market an AIF arising out of the EuSEF Regulation or the EuVECA Regulation [F5; or

(g)an AIFM to which regulation 75 (closed-ended AIFs whose subscription period has closed) applies]

Textual Amendments

F3Word in reg. 71(5)(e) omitted (16.6.2014) by virtue of The Alternative Investment Fund Managers Order 2014 (S.I. 2014/1292), arts. 1(2), 4(4)(a) (as amended by S.I. 2014/1313, arts. 1, 2(a))

F5Reg. 71(5)(g) and preceding word added (16.6.2014) by The Alternative Investment Fund Managers Order 2014 (S.I. 2014/1292), arts. 1(2), 4(4)(b) (as amended by S.I. 2014/1313, arts. 1, 2(a))

Marginal Citations

M1Section 165 was amended by paragraph 15 of Schedule 2 to the Financial Services Act 2010 and paragraph 1 of Schedule 12 to the Financial Services Act 2012.

M2Section 66 was substituted by paragraph 5 of Schedule 12 to the Financial Services Act 2012.

M3Section 167 was amended by paragraph 7 of Schedule 12 to the Financial Services Act 2012 and by S.I. 2007/126.

M4Section 205 was amended by paragraphs 1 and 11 of Schedule 9 to the Financial Services Act 2012.

M5Section 206 was amended by section 10 of the Financial Services Act 2010 and by paragraphs 1 and 12 of Schedule 9 to the Financial Services Act 2012.

M6Section 169 was amended by paragraph 9 of Schedule 12 to the Financial Services Act 2012.

M7Section 170 was amended by paragraph 10 of Schedule 12 to the Financial Services Act 2012.

M8Section 171 was amended by S.I. 2007/126.

M9Section 174 was amended by paragraph 12 of Schedule 12 to the Financial Services Act 2012.

M10Section 175 was amended by paragraph 13 of Schedule 12 to the Financial Services Act 2012.

M11Section 176 was amended by paragraph 17 of Schedule 2 to the Financial Services Act 2010, paragraph 14 of Schedule 12 to the Financial Services Act 2012 and S.I. 2005/1433.

M12Section 176A was inserted by paragraph 15 of Schedule 12 to the Financial Services Act 2012.

M13Section 177 was amended by paragraph 8 of Schedule 8 to the Financial Services Act 2012 and S.I. 2001/1090.

M14Sections 207 to 211 were amended by paragraphs 18, 19 and 20 of Schedule 2 to the Financial Services Act 2010 and by paragraphs 1, 14, 15, 16, 17 and 18 of Schedule 9 to the Financial Services Act 2012. Schedule 1ZA was substituted by Schedule 3 to the 2012 Act.

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