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  1. PS17/10: Remuneration in CRD IV firms

    Policy statements

    Published: 28/09/2016

    Last modified: 03/05/2017

    In this Policy Statement we publish our final rules and guidance to help firms understand the rules that apply to their remuneration policies and practices.
  2. Overall responsibility and the legal function: DP16/4

    Discussion papers

    Published: 28/09/2016

    Last modified: 23/01/2019

    In September 2016, we launched Discussion Paper DP16/4 to clarify how and why the legal function is currently captured under the Senior Managers and Certification Regime (SM&CR) and to consider whether it should continue to be part of the regime.
  3. Whistleblowing in UK branches of foreign banks: PS17/7

    Policy statements

    Published: 28/09/2016

    Last modified: 03/05/2017

    This Policy Statement introduces our final rules on whistleblowing requirements for UK branches of foreign banks. It does not apply to UK branches of overseas insurers.
  4. Strengthening accountability in banking and insurance: regulatory references final rules: PS16/22

    Policy statements

    Published: 28/09/2016

    Last modified: 24/02/2017

    We are publishing our final rules on regulatory references. 
  5. Senior Managers and Certification Regime: supervisory review

    Feedback statements

    Published: 28/09/2016

    Last modified: 06/03/2017

    We are reporting the findings of our in-depth supervisory review of the Statements of Responsibilities (SoRs) and responsibilities maps supplied with grandfathering notifications for firms.
  6. Applying conduct rules to all non-executive directors in the banking and insurance sectors: PS17/8

    Policy statements

    Published: 28/09/2016

    Last modified: 03/05/2017

    This Policy Statement (PS) introduces final rules to extend our Code of Conduct sourcebook (COCON) to standard non-executive directors (NEDs) in banks, building societies, credit unions and dual-regulated investment firms (‘banks’) and insurance
  7. FCA Decision Notice 2016: Michael Wilkinson trading as Michael Wilkinson Mortgages [pdf]

    Decision notices

    Published: 27/09/2016

    This decision notice refers to breaches of PRIN 4, PRIN 11, COND, MIPRU and SUP related to failing to be open and co-operative and threshold conditions in the regulated home finance sector. Our view is that a cancellation should be imposed.
  8. Notice of Decision to Cancel: Murrayfield Management Limited [pdf]

    Cancellation notices

    Published: 27/09/2016

    This decision notice refers to breaches of money laundering regulations 2007 related to failing to be open and co-operative in the trading firm sector. Our view is that a cancellation should be imposed.
  9. Market Watch 51 [pdf]

    Newsletters

    Published: 26/09/2016

    The FCA’s Market Watch newsletter periodically considers current market conduct and transaction reporting issues.
  10. Final Notice: Gemmax Solutions Limited [pdf]

    Final notices

    Published: 22/09/2016

    This final notice refers to breaches of PSR related to failing to be open and co-operative and payment services regulations in the payment services sector. We imposed a cancellation.
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