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First Supervisory Notice 2021: Marshall Sterling Investment Management Limited [pdf]
First Supervisory Notice 2021: Marshall Sterling Investment Management Limited. -
First Supervisory Notice 2021: FXBFI Broker Financial Invest Ltd [pdf]
This First Supervisory Notice concerns the FCA’s use if its power of intervention in respect of a firm operating post-Brexit under the Temporary Permissions Regime. -
First Supervisory Notice 2021: Finteractive Limited [pdf]
This First Supervisory Notice concerns the FCA’s use if its power of intervention in respect of a firm operating post-Brexit under the Temporary Permissions Regime -
First Supervisory Notice 2021: Raedex Consortium Ltd [pdf]
First Supervisory Notice for Raedex Consortium Ltd. -
First Supervisory Notice 2020: Perry Prowse (Insurance Consultants) Ltd [pdf]
First Supervisory Notice for Perry Prowse (Insurance Consultants) Ltd. -
Second Supervisory Notice 2020: Perry Prowse (Insurance Consultants) Ltd [pdf]
Second Supervisory Notice for Perry Prowse (Insurance Consultants) Ltd. -
First supervisory notice 2020: F1 Markets Ltd [pdf]
This first supervisory notice concerns the FCA’s use of its power of intervention in respect of an inward service passported EEA investment firm for breaches of MiFID obligations. We imposed requirements on the firm to prevent it from providing -
First supervisory notice 2020: Rodeler Ltd [pdf]
This first supervisory notice concerns the FCA’s use of its power of intervention in respect of an inward service passported EEA investment firm for breaches of MiFID obligations. We imposed requirements on the firm to prevent it from providing -
First supervisory notice 2020: Hoch Capital Ltd [pdf]
This first supervisory notice concerns the FCA’s use of its power of intervention in respect of an inward service passported EEA investment firm for breaches of MiFID obligations. We imposed requirements on the firm to prevent it from providing -
First supervisory notice 2020: Magnum FX Cyprus Ltd [pdf]
This first supervisory notice concerns the FCA’s use of its power of intervention in respect of an inward service passported EEA investment firm for breaches of MiFID obligations. We imposed requirements on the firm to prevent it from providing