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Showing 5092 to 5101 of 5169 search results for open finance.

  1. FCA takes action against three individuals from SVS Securities for mistreatment of pension funds

    Press Releases

    Published: 24/06/2024

    Last modified: 24/06/2024

    Bonds into which they were invested by SVS have since defaulted, with customers unlikely to receive more than a fraction of their investment back.
  2. FG24/2: Guidance for firms supporting existing mortgage borrowers impacted by rising living costs

    Finalised guidance

    Published: 10/04/2024

    Last modified: 05/11/2024

    The FCA sets out the ways mortgage lenders can help customers worried about, or already struggling with, their mortgage payments because of rising living costs.
  3. FCA fines Swinton Group Limited £7.38 million for mis-selling monthly add-on insurance policies

    Press Releases

    Published: 16/07/2013

    Last modified: 17/09/2013

    The Financial Conduct Authority (FCA) has fined Swinton Group Limited (Swinton), one of the largest insurance retailers on the high street, £7,380,400 for mis-selling. The FCA found that Swinton’s aggressive sales strategy meant that it failed to
  4. Koyo Loans Services Limited / Koyo Loans Private Lending / Koyo Loans UK Ltd / Koyo Loan Finance Ltd (Clone of FCA authorised firm)

    Warnings

    Published: 14/06/2021

    Last modified: 26/10/2022

    Koyo Loans Services Limited / Koyo Loans Private Lending / Koyo Loans UK Ltd / Koyo Loan Finance Ltd (Clone of FCA authorised firm) is not authorised or registered by the FCA but has been targeting people in the UK, claiming to be an authorised firm.
  5. PS18/23: Claims management: how we will regulate claims management companies

    Policy statements

    Published: 05/06/2018

    Last modified: 11/09/2023

    Our Policy Statement sets out the conduct, rules and fees we’ll apply to claims management companies (CMCs) from April 2019.
  6. Overall complaints fell by 1.4%, driven by a reduction in complaints related to current accounts and savings accounts. PPI complaints rise

    Press Releases

    Published: 30/03/2016

    Last modified: 07/02/2022

    Financial services firms received 2.11 million new complaints between July and December 2015, according to new complaints data published today by the Financial Conduct Authority.
  7. PS23/1: Extended asset retention requirement for firms under the British Steel Pension Scheme consumer redress scheme

    Policy statements

    Published: 28/11/2022

    Last modified: 27/01/2023

    Final rules to extend asset retention rules for certain firms who provided transfer advice to BSPS members. We also summarise feedback to CP22/22.
  8. Multi-firm review of liquidity risk management at wholesale trading firms

    Multi-firm reviews

    Published: 10/03/2025

    Last modified: 11/03/2025

    This paper summarises our observations from the multi-firm review of liquidity risk management at a range of wholesale trading (sell-side) firms.
  9. FCA appoints David Anthony Scott as Interim General Counsel and Raj Parker as a senior legal adviser

    Press Releases

    Published: 23/06/2021

    Last modified: 23/06/2021

    The FCA has appointed David Anthony Scott as its Interim General Counsel.
  10. PS15/9: Implementation of the Mortgage Credit Directive and the new regime for second charge mortgages, feedback to CP14/20 and final rules

    Policy statements

    Published: 27/03/2015

    Last modified: 27/03/2015

    It will also interest bodies that represent these groups, including firms dealing with niche mortgage products, such as bridging finance or lifetime mortgages.
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