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Anti-competitive conduct in the asset management sector: FCA Decisions under the Competition Act 1998
On 21 February 2019, the FCA decided that 3 asset management firms, Hargreave Hale Ltd, Newton Investment Management Limited and River and Mercantile Asset Management LLP (RAMAM), breached competition law. They shared strategic information during a -
Coronavirus and safeguarding customers’ funds: additional guidance for payment and e-money firms
This finalised guidance intends to strengthen firms’ prudential risk management and arrangements for safeguarding customers’ funds in this period of economic stress due to coronavirus. -
FCA bans three individuals from working in the financial services industry for non-financial misconduct
The Financial Conduct Authority (FCA) has prohibited Russell David Jameson, Mark Horsey, and Frank Cochran from working in the financial services industry following findings that they are not fit and proper. Each of them had been convicted of -
FS20/10: Coronavirus and safeguarding customers’ funds: guidance for payment and e-money firms
We summarise the feedback to our proposed temporary guidance on payment firms’ prudential risk management and safeguarding arrangements for customers’ funds, in light of coronavirus. -
Occasional Paper No. 9: Two plus two makes five? Survey evidence that investors overvalue structured deposits
Occasional Paper No. 9: Two plus two makes five? Survey evidence that investors overvalue structured deposits. Occasional papers First published:. 05/03/2015. Last updated: 05/03/2015. Occasional Paper No. 9: Two plus two makes five? Survey -
PS20/16: Updating the Dual-regulated firms Remuneration Code to reflect CRD V
This PS summarises the feedback we received during the consultation period and our response to it. We set out our final rules on remuneration for dual-regulated firms and revise our previous guidance. -
The Climate Financial Risk Forum publishes its guide to help the financial industry address climate-related financial risks
The Climate Financial Risk Forum (CFRF) has published a guide written by industry for industry to help firms approach and address climate-related financial risks. -
GC14/4 Guidance on the Financial Policy Committee’s recommendation on loan to income ratios in mortgage lending
The recommendation should be implemented as soon as is practicable. The PRA is consulting on proposals to implement the FPC’s recommendation by making a rule that applies to banks, building ... FCA-authorised mortgage lenders that are not a subsidiary -
RMA-F Threshold conditions: help text
RMA-F Threshold conditions: help text -
CP15/22 Strengthening accountability in banking: Final rules (including feedback on CP14/31 and CP15/5) and consultation on extending the Certification Regime to wholesale market activities
In this paper we follow up on the feedback that we provided earlier this year in Consultation Paper 15/9: Strengthening accountability in banking: a new regulatory framework for individuals