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Showing 81 to 90 of 173 search results for Occasional Papers contribute to our work.
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TR14/7: Clarity of fund charges
This paper presents the findings from our clarity of fund charges review. ... There are two main messages from our work:. using the annual management charge (AMC) in some marketing material and the ongoing charges figure (OCF) in other documents may -
Measuring our impact before we intervene
Find out how we measure our impact before we intervene with rule-making powers. -
Environmental sustainability
Find out how the FCA is working to become a more sustainable organisation. -
Improving access to insurance
Speech by Christopher Woolard, Executive Director of Strategy and Competition at the FCA, delivered at the FCA Insurance Access event. -
Speech: Beyond economics?
that financial consumers are biased in some ways.See various occasional papers on our website. ... Our occasional papers such as No. 12 on showing the prior premium on insurance renewal notices and No. -
Call for Input on access to insurance
We are publishing our response to the Call for Input on Access to Insurance. In this Call for Input we invited views on the ability of consumers who have, or have had cancer, to access travel insurance. -
FCA to regulate seven additional financial benchmarks
The Financial Conduct Authority (FCA) will regulate seven additional major UK-based financial benchmarks in the fixed income, commodity and currency markets from 1 April 2015. This extends the FCA’s initial regulation of LIBOR (the London -
A test of conscience
Certainly, some of the FCA’s conversations with banking staff for the occasional paper, seem to suggest consumer vulnerability is not yet a business priority in all firms. ... The occasional paper highlights the importance of leaders responding to -
Business Plan 2024/25
Our Business Plan details the work we'll do over the next 12 months to help deliver the commitments in our Strategy. -
Research Note: Fixed Income ETFs: secondary market participation and resilience during times of stress
In this publication, we aim to analyse the exchange-traded fund (ETF) secondary market from the perspective of financial stability.