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| Companies Act 1989 |
| 1989 c. 40 - continued
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SCHEDULE 23 |
| Section 206(1). |
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Consequential Amendments of the Financial Services Act
1986 |
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Part I
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General Amendments
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1.(1) Section
13 of the Financial Services Act 1986 (power to direct alteration of rules
of recognised self-regulating organisation) is amended as follows.
(2) Omit subsection (1).
(3) For subsection (2) substitute
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"(2) If at any time it appears to the Secretary of State
that
(a) a recognised self-regulating organisation is concerned
with two or more kinds of investment business, and
(b) the requirement in paragraph 3(1) of Schedule 2
to this Act is not satisfied in respect of investment business
of one or more but not all of those kinds,
he may, instead of revoking the recognition order or making an application
under section 12 above, direct the organisation to alter, or himself
alter, its rules so that they preclude a member from carrying on
investment business of a kind in respect of which that requirement
is not satisfied, unless he is an authorised person otherwise than
by virtue of membership of the organisation or is an exempted person
in respect of that business." |
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(4) For subsection (3) substitute
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"(3) A direction under this section is enforceable on the
application of the Secretary of State by injunction or, in Scotland,
by an order under section 45 of the Court of Session Act 1988." |
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(5) Omit subsections (4) to (6). |
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2.(1) Section
48 of the Financial Services Act 1986 (conduct of business rules) is amended
as follows.
(2) In subsection (1) omit the words "members
of a recognised self-regulating organisation or" and "organisation or".
(3) After subsection (10) insert
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"(11) Section 63A below (application of designated rules)
has effect as regards the application of rules under this section
to members of recognised self-regulating organisations in respect
of investment business in the carrying on of which they are subject
to the rules of the organisation." |
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3.(1) Section
49 of the [1986 c. 60.] Financial Services Act 1986 (financial
resources rules) is amended as follows.
(2) For subsection (1) substitute
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"(1) The Secretary of State may make rules requiring
(a) a person authorised to carry on investment business
by virtue of section 25 or 31 above, or
(b) a member of a recognised self-regulating organisation
carrying on investment business in the carrying on of which he
is subject to the rules of the organisation,
to have and maintain in respect of that business such financial
resources as are required by the rules." |
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(3) After subsection (2) insert
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"(3) Section 63A below (application of designated rules)
has effect as regards the application of rules under this section
to members of recognised self-regulating organisations in respect
of investment business in the carrying on of which they are subject
to the rules of the organisation." |
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4. In
section 50 of the Financial Services Act 1986 (power of Secretary of State
to modify conduct of business and financial resources rules for particular
cases), after subsection (3) insert
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"(4) The powers conferred by subsection (1) above shall not
be exercised in a case where the powers conferred by section 63B
below are exercisable (powers of recognised self-regulating organisation
in relation to designated rules)." |
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5. In
section 52 of the Financial Services Act 1986 (notification regulations),
in subsection (3) (application to member of recognised self-regulating
organisation or professional body), for "subject to any of the rules made
under section 48 above" substitute "not subject to the rules of that organisation
or body". |
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6.(1) Section
55 of the Financial Services Act 1986 (clients' money) is amended as follows.
(2) In subsection (2)(b) and (e) omit the
words "a member of a recognised self-regulating organisation or" and "organisation
or".
(3) In subsection (3) omit the words "organisation
or".
(4) After subsection (5) insert
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"(6) Section 63A below (application of designated regulations)
has effect as regards the application of regulations under this
section to members of recognised self-regulating organisations in
respect of investment business in the carrying on of which they
are subject to the rules of the organisation." |
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7. In
section 56 of the Financial Services Act 1986 (unsolicited calls), for
subsection (7) substitute
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"(7) Section 63A below (application of designated regulations)
has effect as regards the application of regulations under this
section to members of recognised self-regulating organisations in
respect of investment business in the carrying on of which they
are subject to the rules of the organisation.
As it applies to such persons in respect of such business the
reference in subsection (1) above to conduct permitted by regulations
made by the Secretary of State shall be construed
(a) where or to the extent that the regulations do
not apply, as a reference to conduct permitted by the rules
of the organisation; and
(b) where or to the extent that the regulations do
apply but are expressed to have effect subject to the rules
of the organisation, as a reference to conduct permitted by
the regulations together with the rules of the organisation.
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(7A) In the application of this section to anything done
by a person certified by a recognised professional body in carrying
on investment business in the carrying on of which he is subject
to the rules of the body, the reference in subsection (1) above
to conduct permitted by regulations made by the Secretary of State
shall be construed as a reference to conduct permitted by the rules
of the body." |
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8. In
section 86 of the [1986 c. 60.] Financial Services Act 1986
(collective investment schemes constituted in other member States), in
subsection (7) (restriction on application of conduct of business rules),
at the end add
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"This subsection also applies to statements of principle under
section 47A and codes of practice under section 63A so far as they
relate to matters falling within the rule-making power in section
48." |
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9. In
section 95 of the Financial Services Act 1986 (collective investment schemes:
contraventions), after subsection (2) add
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"(3) The disciplinary action which may be taken by virtue
of section 47A(3) (failure to comply with statement of principle)
includes
(a) the giving of a direction under section 91(2),
and
(b) the application by the Secretary of State for an
order under section 93;
and subsection (6) of section 47A (duty of the Secretary of State
as to exercise of powers) has effect accordingly." |
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10.(1) Section
107 of the Financial Services Act 1986 (appointment of auditors) is amended
as follows.
(2) For subsection (1) (power to make rules)
substitute
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"(1) The Secretary of State may make rules requiring
(a) a person authorised to carry on investment business
by virtue of section 25 or 31 above, or
(b) a member of a recognised self-regulating organisation
carrying on investment business in the carrying on of which he
is subject to the rules of the organisation,
and who, apart from the rules, is not required by or under any enactment
to appoint an auditor, to appoint as an auditor a person satisfying
such conditions as to qualifications and otherwise as may be specified
in or imposed under the rules." |
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(3) After subsection (3) add
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"(4) In its application to members of recognised self-regulating
organisations, this section has effect subject to section 107A below." |
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11. After
section 107 of the Financial Services Act 1986 insert
"Application of audit rules to members of self-regulating
organisations.
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107A. (1) The
Secretary of State may in rules under section 107 designate provisions
which apply, to such extent as may be specified, to a member of
a recognised self-regulating organisation in respect of investment
business in the carrying on of which he is subject to the rules
of the organisation.
(2) It may be provided that the designated
rules have effect, generally or to such extent as may be specified,
subject to the rules of the organisation.
(3) A member of a recognised self-regulating
organisation who contravenes a rule applying to him by virtue of
that section shall be treated as having contravened the rules of
the organisation.
(4) Except as mentioned above, rules
made under section 107 do not apply to members of recognised self-regulating
organisations in respect of investment business in the carrying
on of which they are subject to the rules of the organisation.
(5) A recognised self-regulating organisation
may on the application of a member of the organisation
(a) modify a rule designated under this section so
as to adapt it to his circumstances or to any particular kind
of business carried on by him, or
(b) dispense him from compliance with any such rule,
generally or in relation to any particular kind of business carried
on by him.
(6) The powers conferred by subsection
(5) shall not be exercised unless it appears to the organisation
(a) that compliance with the rule in question would
be unduly burdensome for the applicant having regard to the benefit
which compliance would confer on investors, and
(b) that the exercise of those powers will not result
in any undue risk to investors.
(7) The powers conferred by subsection
(5) may be exercised unconditionally or subject to conditions; and
subsection (3) applies in the case of a contravention of a condition
as in the case of contravention of a designated rule.
(8) The reference in paragraph 4(1)
of Schedule 2 (requirements for recognition of self-regulating organisations)
to monitoring and enforcement of compliance with rules includes
monitoring and enforcement of compliance with conditions imposed
by the organisation under subsection (7).
" |
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12.(1) Section
114 of the [1986 c. 60.] Financial Services Act 1986 (power
to transfer functions to designated agency) is amended as follows.
(2) For subsection (9) substitute
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"(9) The Secretary of State shall not make a delegation order
transferring any legislative functions unless
(a) the agency has furnished him with a copy of the
instruments it proposes to issue or make in the exercise of those
functions, and
(b) he is satisfied that those instruments will afford
investors an adequate level of protection and, in the case of
such provisions as are mentioned in Schedule 8 to this Act, comply
with the principles set out in that Schedule.
In this subsection "legislative functions" means the functions of
issuing or making statements of principle, rules, regulations or
codes of practice." |
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(3) In subsection (12) for "rules or regulations
made" substitute "statements of principle, rules, regulations or codes
of practice issued or made". |
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13.(1) Section
115 of the [1986 c. 60.] Financial Services Act 1986 (resumption
of transferred functions) is amended as follows.
(2) For subsection (5) substitute
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"(5) Where the transferred functions consist of or include
any legislative functions, an order may be made under subsection
(2) above if at any time it appears to the Secretary of State that
the instruments issued or made by the agency do not satisfy the
requirements of section 114(9)(b) above." |
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(3) In subsection (7)
(a) in the opening words, for "subsection (2)(b) above" substitute
"this section", and
(b) in paragraph (a) for "functions of making rules or regulations"
substitute "functions of issuing or making statements of principle,
rules, regulations or codes of practice".
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14.(1) Section
119 of the Financial Services Act 1986 (competition scrutiny: recognition
orders) is amended as follows.
(2) In subsection (1) (considerations relevant
to making of recognition order), for paragraphs (a) and (b) substitute
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" (a) in the case of a self-regulating organisation,
the rules and any guidance of which copies are furnished with the
application for the order, together with any statements of principle,
rules, regulations or codes of practice to which members of the
organisation would be subject by virtue of Chapter V of this Part, |
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(b) in the case of an investment exchange, the rules
and any guidance of which copies are furnished with the application
for the order, together with any arrangements of which particulars
are furnished with the application, |
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(c) in the case of a clearing house, the rules and
any guidance of which copies are furnished with the application
for the order," |
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(3) In subsection (2) (circumstances in which
powers are exercisable in relation to recognised body), for paragraphs
(a) to (c) substitute
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" (a) in the case of a self-regulating organisation (i) any
rules made or guidance issued by the organisation, (ii) any
practices of the organisation, or (iii) any practices
of persons who are members of, or otherwise subject to the rules
made by, the organisation,together with any statements of principle,
rules, regulations or codes of practice to which members of the
organisation are subject by virtue of Chapter V of this Part, |
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(b) in the case of a recognised investment exchange (i) any
rules made or guidance issued by the exchange, (ii) any
practices of the exchange, or (iii) any practices
of persons who are members of, or otherwise subject to the rules
made by, the exchange, |
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(c) in the case of a recognised clearing house (i) any
rules made or guidance issued by the clearing house, (ii) any
practices of the clearing house, or (iii) any
practices of persons who are members of, or otherwise subject to
the rules made by, the clearing house,or any clearing arrangements
made by the clearing house," |
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(4) In subsection (3) (powers exercisable
in relation to recognised body)
(a) in paragraph (b) for "the rules" substitute "its rules,
or the", and
(b) in paragraph (c) for "the rules" substitute "its rules".
(5) In subsection (5) (construction of references
to practices)
(a) for "paragraph (b)" substitute "paragraph (a)(ii), (b)(ii)
and (c)(ii)", and
(b) omit the words from "and the practices referred to in
paragraph (c)" to the end.
(6) After that subsection insert
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"(6) The practices referred to in paragraph (a)(iii), (b)(iii)
and (c)(iii) of subsection (2) above are
(a) in relation to a recognised self-regulating organisation,
practices in relation to business in respect of which the persons
in question are subject to (i) the rules of the
organisation, or (ii) statements of principle,
rules, regulations or codes of practice to which its members are
subject by virtue of Chapter V of this Part,and which are
required or contemplated by the rules of the organisation or by
those statements, rules, regulations or codes, or by guidance
issued by the organisation,
(b) in relation to a recognised investment exchange
or clearing house, practices in relation to business in respect
of which the persons in question are subject to the rules of the
exchange or clearing house, and which are required or contemplated
by its rules or guidance,
or which are otherwise attributable to the conduct of the organisation,
exchange or clearing house as such." |
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15.(1) Section
121 of the [1986 c. 60.] Financial Services Act 1986 (competition
scrutiny: designated agencies) is amended as follows.
(2) In subsection (1) for "rules, regulations"
substitute "statements of principle, rules, regulations, codes of practice".
(3) In subsection (2)(a) and (c) for "rules
or regulations made" substitute "statements of principle, rules, regulations
or codes of practice issued or made".
(4) In subsection (3)(b) for "rules, regulations"
substitute "statements of principle, rules, regulations, codes of practice".
(5) In subsection (4) for "rules or regulations"
(twice) substitute "statements of principle, rules, regulations or codes
of practice". |
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16.(1) Section
122 of the Financial Services Act 1986 (reports by Director General of
Fair Trading) is amended as follows.
(2) In subsection (1) for "and regulations"
substitute ", statements of principle, regulations and codes of practice".
(3) In subsection (2) for "regulations,"
substitute "statements of principle, regulations, codes of practice,".
(4) In subsection (4)
(a) in paragraph (a) for "rules, guidance, arrangements and
regulations" substitute "rules, statements of principle, regulations,
codes of practice, guidance and arrangements", and
(b) in the words following the paragraphs, for "rules, guidance,
arrangements, regulations" substitute "rules, statements of principle,
regulations, codes of practice, guidance, arrangements", and for "rules,
guidance, arrangements or regulations" substitute "rules, statements
of principle, regulations, codes of practice, guidance or arrangements".
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17.(1) Section
124 of the [1986 c. 60.] Financial Services Act 1986 (matters
to be left out of account for certain purposes in connection with competition
scrutiny) is amended as follows.
(2) In subsection (1) (matters to be left
out of account in determining whether monopoly situation exists), in paragraph
(c) for "rules or regulations made or guidance issued" substitute "statements
of principle, rules, regulations, codes of practice or guidance issued
or made".
(3) In subsection (3) (matters to be excluded
from consideration where monopoly situation exists)
(a) in paragraph (a), for "rules or regulations made" substitute
"statements of principle, rules, regulations or codes of practice issued
or made",
(b) in paragraph (b), for "rules or regulations" substitute
"statements of principle, rules, regulations or codes of practice",
and
(c) in the closing words, for "rules, regulations" substitute
"statements of principle, rules, regulations, codes of practice".
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18. For
section 205 of the Financial Services Act 1986 (regulations, rules and
orders) substitute
"General power to make regulations.
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205. The
Secretary of State may make regulations prescribing anything which
by this Act is authorised or required to be prescribed. |
Supplementary provisions with respect to subordinate
legislation.
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205A. (1) The
following provisions apply to any power of the Secretary of State
under this Act
(a) to issue statements of principle,
(b) to make rules or regulations,
(c) to make orders (other than such orders as are excepted
by subsection (4) below), or
(d) to issue codes of practice.
(2) Any such power is exercisable by
statutory instrument and includes power to make different provision
for different cases.
(3) Except as otherwise provided, a
statutory instrument containing statements of principle, rules or
regulations shall be subject to annulment in pursuance of a resolution
of either House of Parliament.
(4) The above provisions do not apply
to a recognition order, an order declaring a collective investment
scheme to be an authorised unit trust scheme or a recognised scheme
or to an order revoking any such order.
" |
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19. In
section 206(1) of the Financial Services Act 1986 (publication of information
and advice)
(a) in paragraph (a), for "rules and regulations made" substitute
"statements of principle, rules, regulations and codes of practice issued
or made", and
(b) in paragraph (b) for "rules or regulations" substitute
"statements of principle, rules, regulations or codes of practice".
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20. In
Schedule 2 to the Financial Services Act 1986 (requirements for recognition
of self-regulating organisations), in paragraph 4(1) (monitoring and enforcement)
for "rules or regulations" substitute "statements of principle, rules,
regulations or codes of practice". |
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21. In
Schedule 3 to the [1986 c. 60.] Financial Services Act 1986
(requirements for recognition of professional bodies), in paragraph 4(2)
(monitoring and enforcement) for "rules or regulations" substitute "statements
of principle, rules, regulations or codes of practice". |
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22. In
Schedule 7 to the Financial Services Act 1986 (qualifications of designated
agency), in paragraph 2(2) (arrangements for discharge of functions: matters
to be decided upon by the governing body) for "rules or regulations must
be made" substitute "statements of principle, rules, regulations and codes
of practice must be issued or made". |
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23.(1) Schedule
8 to the Financial Services Act 1986 (principles applicable to designated
agency's rules and regulations) is amended as follows.
(2) In the heading for "Rules and Regulations"
substitute "Legislative Provisions".
(3) For paragraph 1, and the cross-heading
preceding it, substitute
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Introduction
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1. (1) In
this Schedule "legislative provisions" means the provisions of statements
of principle, rules, regulations and codes of practice issued or
made under Part I of this Act.
(2) References in this Schedule to
"conduct of business provisions" are to rules made under section
48 of this Act and statements of principle and codes of practice
so far as they relate to matters falling within that rule-making
power.
(3) References in this Schedule to
provisions made for the purposes of a specified section or Chapter
are to rules or regulations made under that section or Chapter and
statements of principle and codes of practice so far as they relate
to matters falling within that power to make rules or regulations.
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Standards
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1A. The
conduct of business provisions and the other legislative provisions
must promote high standards of integrity and fair dealing in the
conduct of investment business." |
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(4) In paragraphs 2 to 7, 9, 11 and 12 for
"conduct of business rules" substitute "conduct of business provisions".
(5) In paragraph 7 for "those rules and rules
under" substitute "those provisions and provisions made for the purposes
of".
(6) In paragraph 8 for "Rules made under"
substitute "Provisions made for the purposes of".
(7) In paragraph 9 for "regulations made
under" substitute "provisions made for the purposes of".
(8) In paragraph 10 for "Rules made under"
substitute "Provisions made for the purposes of" and for "under those
sections" substitute "for the purposes of those sections".
(9) In paragraph 12 for "rules and regulations
made under" substitute "provisions made for the purposes of". |
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24.(1) Schedule
9 to the Financial Services Act 1986 (designated agency: exercise of transferred
functions) is amended as follows.
(2) In paragraph 4(1) (copies of instruments
to be sent to Secretary of State), for "any rules or regulations made"
substitute "any statements of principle, rules, regulations or codes of
practice issued or made".
(3) For paragraphs 5 and 6 substitute
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" 5. Paragraphs
6 to 9 below have effect instead of section 205A of this Act in
relation to statements of principle, rules, regulations and codes
of practice issued or made by a designated agency in the exercise
of powers transferred to it by a delegation order. |
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6. Any
such power is exercisable by instrument in writing and includes
power to make different provision for different cases." |
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(4) In paragraph 8 (instruments to be printed
and made available to public)
(a) in sub-paragraph (1) for "is made" substitute "is issued
or made", and
(b) in sub-paragraph (2) for "rule or regulation" (twice)
substitute "statement of principle, rule, regulation or code of practice".
(5) In paragraph 9 (proof of instruments),
for "made by the agency" (twice) substitute "made or issued by the agency".
(6) For paragraph 12 (consultation) substitute
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" 12. (1) Where
a designated agency proposes, in the exercise of powers transferred
to it by a delegation order, to issue or make any statements of
principle, rules, regulations or codes of practice, it shall publish
the proposed instrument in such manner as appears to it best calculated
to bring the proposals to the attention of the public, together
with a statement that representations about the proposals (and,
in particular, representations as to the cost of complying with
the proposed provisions) can be made to the agency within a specified
time.
(2) Before issuing or making the instrument
the agency shall have regard to any representations duly made in
accordance with that statement.
(3) The above requirements do not apply
(a) where the agency considers that the delay involved
in complying with them would be prejudicial to the interests of
investors;
(b) to the issuing or making of an instrument in the
same, or substantially the same, terms as a proposed instrument
which was furnished by the agency to the Secretary of State for
the purposes of section 114(9) of this Act.
" |
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25.(1) Schedule
10 to the [1986 c. 60.] Financial Services Act 1986 (application
of investment business provisions to regulated insurance companies) is
amended as follows.
(2) In paragraph 4 (modification of conduct
of business rules), after sub-paragraph (2) insert
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"(2A) Sub-paragraphs (1) and (2) also apply to statements
of principle under section 47A and codes of practice under section
63A so far as they relate to matters falling within the rule-making
power in section 48." |
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(3) In paragraph 7 (withdrawal of authorisation)
after sub-paragraph (2) insert
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"(3) The disciplinary action which may be taken by virtue
of section 47A(3) of this Act (failure to comply with statement
of principle) includes
(a) the withdrawal of authorisation under section 11(2)(a)
of the Insurance Companies Act 1982, and
(b) the giving of a direction under section 13(2A)
of that Act;
and subsection (6) of section 47A (duty of the Secretary of State
as to exercise of powers) has effect accordingly." |
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Part II
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Amendments Relating to Friendly Societies
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26. Schedule
11 to the [1986 c. 60.] Financial Services Act 1986 (friendly
societies) is amended as follows. |
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27. In
paragraph 3(2) (competition scrutiny: recognition of self-regulating organisation
for friendly societies), after "sent to him under this sub-paragraph"
insert ", together with any statements of principle, rules, regulations
or codes of practice to which members of the organisation would be subject
by virtue of this Schedule,". |
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28.(1) Paragraph
4 (requirements for recognition of self-regulating organisation for friendly
societies) is amended as follows.
(2) In sub-paragraph (4)
(a) in paragraph (a) for "22" substitute "22D", and
(3) In sub-paragraph (5) for "22" substitute
"22D". |
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29. Omit
paragraph 7. |
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30.(1) Paragraph
10 (competition scrutiny: circumstances in which powers are exercisable
in relation to recognised self-regulating organisation for friendly societies)
is amended as follows.
(2) In sub-paragraph (1), after paragraph
(c) insert "together with any statements of principle, rules, regulations
or codes of practice to which members of the organisation are subject
by virtue of this Schedule,".
(3) In sub-paragraph (2)
(a) in paragraph (b), for "the rules" substitute "its rules,
or the", and
(c) in paragraph (c), for "the rules" substitute "its rules".
(4) In sub-paragraph (3) (construction of
references to practices), omit the words from "and the practices referred
to in paragraph (c)" to the end; and after that sub-paragraph insert
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"(3A) The practices referred to in paragraph (c) of sub-paragraph
(1) above are practices in relation to business in respect of which
the persons in question are subject to
(a) the rules of the organisation, or
(b) statements of principle, rules, regulations or
codes of practice to which its members are subject by virtue of
this Schedule,
and which are required or contemplated by the rules of the organisation
or by those statements, rules, regulations or codes, or by guidance
issued by the organisation, or which are otherwise attributable
to the conduct of the organisation as such." |
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31. In
paragraph 13, for "Paragraphs 14 to 25" substitute "Paragraphs 13A to
25". |
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32. Before
paragraph 14 and after the heading "Conduct of investment business",
insert
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" 13A. (1) The
Registrar may issue statements of principle with respect to the
conduct expected of regulated friendly societies.
(2) The conduct expected may include
compliance with a code or standard issued by another person, as
for the time being in force, and may allow for the exercise of discretion
by any person pursuant to any such code or standard.
(3) Failure to comply with a statement
of principle under this paragraph is a ground for the taking of
disciplinary action or the exercise of powers of intervention, but
it does not give rise to any right of action by investors or other
persons affected or affect the validity of any transaction.
(4) The disciplinary action which may
be taken by virtue of sub-paragraph (3) is
(a) the making of a public statement under paragraph
21, or
(b) the application by the Registrar for an injunction,
interdict or other order under paragraph 22(1), or
(c) any action under paragraph 26 or 27 of this Schedule;
and the reference in that sub-paragraph to powers of intervention
is to the powers conferred by Chapter VI of Part I of this Act.
(5) Where a statement of principle
relates to compliance with a code or standard issued by another
person, the statement of principle may provide
(a) that failure to comply with the code or standard
shall be a ground for the taking of disciplinary action, or the
exercise of powers of intervention, only in such cases and to
such extent as may be specified; and
(b) that no such action shall be taken, or any such
power exercised, except at the request of the person by whom the
code or standard in question was issued.
(6) The Registrar shall exercise his
powers in such manner as appears to him appropriate to secure compliance
with statements of principle under this paragraph.
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13B. (1) The
relevant regulatory authority may on the application of a regulated
friendly society
(a) modify a statement of principle issued under paragraph
13A so as to adapt it to the circumstances of the society or to
any particular kind of business carried on by it, or
(b) dispense the society from compliance with any such
statement of principle, generally or in relation to any particular
kind of business carried on by it.
(2) The powers conferred by this paragraph
shall not be exercised unless it appears to the relevant regulatory
authority
(a) that compliance with the statement of principle
in question would be unduly burdensome for the applicant having
regard to the benefit which compliance would confer on investors,
and
(b) that the exercise of those powers will not result
in any undue risk to investors.
(3) The powers conferred by this paragraph
may be exercised unconditionally or subject to conditions; and paragraph
13A(3) applies in the case of failure to comply with a condition
as in the case of failure to comply with a statement of principle.
(4) The relevant regulatory authority
for the purposes of this paragraph is
(a) in the case of a member society of a recognised
self-regulating organisation for friendly societies, in relation
to investment business in the carrying on of which it is subject
to the rules of the organisation, that organisation;
(b) in any other case, or in relation to other investment
business, the Registrar.
(5) The reference in paragraph 4(1)
of Schedule 2 as applied by paragraph 4 above (requirements for
recognition of self-regulating organisation for friendly societies)
to monitoring and enforcement of compliance with statements of principle
includes monitoring and enforcement of compliance with conditions
imposed by the organisation under this paragraph.
" |
. |
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33.(1) Paragraph
14 (conduct of business rules) is amended as follows.
(2) In sub-paragraph (1), omit the words
"other than a member society".
(3) After sub-paragraph (2) insert
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"(2A) Paragraph 22B below has effect as regards the application
of rules under this paragraph to member societies in respect of
investment business in the carrying on of which they are subject
to the rules of a recognised self-regulating organisation for friendly
societies." |
.
(4) In sub-paragraph (3), omit the word "and"
after paragraph (a); and after paragraph (b) insert
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"; and |
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(c) for the references in subsection (4) to section
63B and a recognised self-regulating organisation there shall be
substituted references to paragraph 13B and a recognised self-regulating
organisation for friendly societies." |
. |
|
34.(1) Paragraph
19 (clients' money regulations) is amended as follows.
(2) In sub-paragraph (2) for the words from
"(but with the substitution" to the end substitute "(but with the substitution
for the reference in paragraph (e) of subsection (2) to the Secretary
of State of a reference to the Registrar)".
(3) After that sub-paragraph insert
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"(3) Paragraph 22B below has effect as regards the application
of regulations under this paragraph to member societies in respect
of investment business in the carrying on of which they are subject
to the rules of a recognised self-regulating organisation for friendly
societies." |
. |
|
35. For
paragraph 20 (unsolicited calls) substitute
|
" 20. (1) Regulations
under section 56(1) of this Act shall not permit anything to be
done by a regulated friendly society but that section shall not
apply to anything done by such a society in the course of or in
consequence of an unsolicited call which, as respects the society,
constitutes the carrying on of regulated business, if it is permitted
to be done by the society by regulations made by the Registrar with
the consent of the Secretary of State.
(2) Paragraph 22B below has effect
as regards the application of regulations under this paragraph to
member societies in respect of investment business in the carrying
on of which they are subject to the rules of a recognised self-regulating
organisation for friendly societies.
(3) As it applies to such persons in
respect of such business, the reference in sub-paragraph (1) above
to conduct permitted by regulations made by the Registrar with the
consent of the Secretary of State shall be construed
(a) where or to the extent that the regulations do
not apply, as a reference to conduct permitted by the rules of
the organisation; and
(b) where or to the extent that the regulations do
apply but are expressed to have effect subject to the rules of
the organisation, as a reference to conduct permitted by the regulations
together with the rules of the organisation.
" |
. |
|
36. After
paragraph 22 (and after the paragraph inserted by section 193(3)) insert
|
" 22B. (1) The
Registrar may in rules and regulations under
(a) paragraph 14 (conduct of business rules),
(b) paragraph 19 (clients' money regulations), or
(c) paragraph 20 (regulations as to unsolicited calls),
designate provisions which apply, to such extent as may be specified,
to a member society in respect of investment business in the carrying
on of which it is subject to the rules of a recognised self-regulating
organisation for friendly societies.
(2) It may be provided that the designated
rules or regulations have effect, generally or to such extent as
may be specified, subject to the rules of the organisation.
(3) A member society which contravenes
a rule or regulation applying to it by virtue of this paragraph
shall be treated as having contravened the rules of the relevant
recognised self-regulating organisation for friendly societies.
(4) It may be provided that, to such
extent as may be specified, the designated rules or regulations
may not be modified or waived (under paragraph 22C below or section
50) in relation to a member society.
Where such provision is made any modification or waiver previously
granted shall cease to have effect, subject to any transitional
provision or saving contained in the rules or regulations.
(5) Except as mentioned in sub-paragraph
(1), the rules and regulations referred to in that sub-paragraph
do not apply to a member society in respect of investment business
in the carrying on of which it is subject to the rules of a recognised
self-regulating organisation for friendly societies.
|
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22C. (1) A
recognised self-regulating organisation for friendly societies may
on the application of a society which is a member of the organisation
(a) modify a rule or regulation designated under paragraph
22B so as to adapt it to the circumstances of the society or to
any particular kind of business carried on by it, or
(b) dispense the society from compliance with any such
rule or regulation, generally or in relation to any particular
kind of business carried on by it.
(2) The powers conferred by this paragraph
shall not be exercised unless it appears to the organisation
(a) that compliance with the rule or regulation in
question would be unduly burdensome for the applicant having regard
to the benefit which compliance would confer on investors, and
(b) that the exercise of those powers will not result
in any undue risk to investors.
(3) The powers conferred by this paragraph
may be exercised unconditionally or subject to conditions; and paragraph
22B(3) applies in the case of a contravention of a condition as
in the case of contravention of a designated rule or regulation.
(4) The reference in paragraph 4(1)
of Schedule 2 as applied by paragraph 4 above (requirements for
recognition of self-regulating organisation for friendly societies)
to monitoring and enforcement of compliance with rules and regulations
includes monitoring and enforcement of compliance with conditions
imposed by the organisation under this paragraph.
|
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22D. (1) The
Registrar may issue codes of practice with respect to any matters
dealt with by statements of principle issued under paragraph 13A
or by rules or regulations made under any provision of this Schedule.
(2) In determining whether a society
has failed to comply with a statement of principle
(a) a failure by it to comply with any relevant provision
of a code of practice may be relied on as tending to establish
failure to comply with the statement of principle, and
(b) compliance by it with the relevant provisions of
a code of practice may be relied on as tending to negative any
such failure.
(3) A contravention of a code of practice
with respect to a matter dealt with by rules or regulations shall
not of itself give rise to any liability or invalidate any transaction;
but in determining whether a society's conduct amounts to contravention
of a rule or regulation
(a) contravention by it of any relevant provision of
a code of practice may be relied on as tending to establish liability,
and
(b) compliance by it with the relevant provisions of
a code of practice may be relied on as tending to negative liability.
(4) Where by virtue of paragraph 22B
(application of designated rules and regulations to member societies)
rules or regulations
(a) do not apply, to any extent, to a member society
of a recognised self-regulating organisation for friendly societies,
or
(b) apply, to any extent, subject to the rules of the
organisation,
a code of practice with respect to a matter dealt with by the rules
or regulations may contain provision limiting its application to
a corresponding extent.
" |
. |
|
37. For
paragraph 29 (transfer of functions of making rules or regulations) substitute
|
" 29. (1) The
Registrar shall not make a transfer order transferring any legislative
functions to a transferee body unless
(a) the body has furnished him and the Secretary of
State with a copy of the instruments it proposes to issue or make
in the exercise of those functions, and
(b) they are both satisfied that those instruments
will (i) afford investors an adequate level of protection, (ii) in
the case of provisions corresponding to those mentioned in Schedule
8 to this Act, comply with the principles set out in that Schedule,
and (iii) take proper account of the supervision
of friendly societies by the Registrar under the enactments relating
to friendly societies.
(2) In this paragraph "legislative
functions" means the functions of issuing or making statements of
principle, rules, regulations or codes of practice.
" |
. |
|
38. In
paragraph 30(2), for "rules or regulations made" substitute "statements
of principle, rules, regulations or codes of practice issued or made". |
|
39. In
paragraph 31(6)(c), for "as if the reference to section 205(2) were a
reference to paragraph 45(1) below" substitute "as if the reference to
section 205A were a reference to paragraph 45(1) and (3) below". |
|
40. For
paragraph 34 substitute
|
" 34. (1) A
transferee body to which the Registrar has transferred any legislative
functions may exercise those functions without the consent of the
Secretary of State.
(2) In this paragraph "legislative
functions" means the functions of issuing or making statements of
principle, rules, regulations or codes of practice.
" |
. |
|
41. In
paragraph 36 (competition scrutiny: transferee bodies) in sub-paragraphs
(1) and (3)(b) for "rules, regulations" substitute "statements of principle,
rules, regulations, codes of practice". |
|
42. In
paragraph 38(1) (publication of information and advice)
(a) in paragraph (a), for "rules and regulations made" substitute
"statements of principle, rules, regulations and codes of practice issued
or made", and
(b) in paragraph (b) for "rules or regulations" substitute
"statements of principle, rules, regulations or codes of practice".
|
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43. In
paragraph 45
(a) in sub-paragraph (1) for "make regulations, rules or
orders" substitute "issue or make statements of principle, rules, regulations,
orders or codes of practice", and
(b) in sub-paragraph (3) for "regulations, rules or orders"
substitute "statements of principle, rules, regulations, orders or codes
of practice.".
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| © Crown copyright 1989 |
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