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Showing 691 to 700 of 4159 search results for Blue Insurance.

  1. FS20/16: Coronavirus and customers in financial difficulty: additional guidance for insurance and premium finance firms - Feedback on draft guidance [pdf]

    Feedback statements Published: 30/10/2020 Last modified: 30/10/2020
    On 16 October 2020, we published draft additional guidance setting out our proposals for how insurance and premium finance firms should provide tailored support to customers who have already benefitted from the previous guidance and those newly in
  2. FSA Final Notice 2010: Gorton Insurance Bureau Limited [pdf]

    Final notices Published: 16/09/2010 Last modified: 14/06/2014
    FSA Final Notice 2010: Gorton Insurance Bureau Limited
  3. FSA Final Notice 2009: Bansal Estates and Insurance Agents [pdf]

    Final notices Published: 01/06/2009 Last modified: 14/06/2014
    FSA Final Notice 2009: Bansal Estates and Insurance Agents
  4. Client agreements for transferring investment business

    Tasks for regulated firms Published: 15/02/2016 Last modified: 10/02/2023
    Firms carrying on designated investment businesses that acquire new clients through a transfer of business or takeover need proof of customer consent
  5. CP19/8: General Insurance Value Measures reporting [pdf]

    Consultation papers Published: 30/01/2019
    This FCA consultation sets out our proposals to require firms to report General Insurance (GI) value measures data to the FCA for publication.
  6. TR14/9 - Commercial insurance intermediaries - Conflicts of interest and intermediary remuneration [pdf]

    Thematic reviews Published: 27/05/2014 Last modified: 27/05/2014
    This report summarises the findings of our thematic review which looked into whether insurance intermediaries serving small to medium-sized enterprises (SMEs) are able to effectively identify and mitigate conflicts of interest arising from their
  7. FCA Final Notice 2014: Sesame Limited [pdf]

    Final notices Published: 29/10/2014 Last modified: 07/04/2015
    This final notice refers to breaches of PRIN 8 and COBS related to conflicts of interest in the life insurance and investment adviser sector. We imposed a fine.
  8. PS23/14: Multi-occupancy building insurance: Feedback to CP23/8 and final rules [pdf]

    Policy statements Published: 29/09/2023
    In this Policy Statement we summarise the feedback we received on our proposals in CP23/8 and our response.
  9. UCITS Remuneration Code (SYSC 19E)

    Tasks for regulated firms Published: 25/05/2016 Last modified: 10/02/2023
    FCA provides information on the Code (SYSC 19E) that applies to management companies of undertakings for collective investment in transferable securities (UCITS).
  10. Eduard Steinbach (Clone of EEA authorised firm)

    Warnings Published: 31/08/2017 Last modified: 31/08/2017
    We have published this statement in order to warn consumers against dealing with unauthorised firms.