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Business interruption insurance test case: agreed facts document 9 [pdf]
This agreed facts document (9) sets out factual background, agreed between the parties, against which the court can interpret policies in the trial of the business interruption insurance test case -
Business interruption insurance test case: agreed facts document 2 [pdf]
This agreed facts document (2) sets out factual background, agreed between the parties, against which the court can interpret policies in the trial of the business interruption insurance test case. -
Business interruption insurance test case: agreed facts document 4 [pdf]
This agreed facts document (4) sets out factual background, agreed between the parties, against which the court can interpret policies in the trial of the business interruption insurance test case. -
Business interruption insurance test case: agreed facts document 7 [pdf]
This agreed facts document (7) sets out factual background, agreed between the parties, against which the court can interpret policies in the trial of the business interruption insurance test case. -
Business interruption insurance test case: agreed facts document 3 [pdf]
This agreed facts document 3 sets out factual background, agreed between the parties, against which the court can interpret policies in the trial of the business interruption insurance test case. -
The changing face of financial crime
Speech by Martin Wheatley, Chief Executive, the FCA, at the FCA Financial Crime Conference, London. -
Examination standards
The FCA's training and competence regime includes a list of appropriate qualifications for firm activities and services. -
Innovation and improving outcomes
Speech by Christopher Woolard, Director of Strategy and Competition, delivered at the Global Digital Banking Conference on 16 June 2016 in London. -
Imperial College Data [xlsx]
This data shows the Imperial College estimate of infections at the Lower Tier Local Authority (LTLA) level during the early stages of the pandemic. -
FCA and Lloyd’s Co-operation Arrangements [pdf]
The Society of Lloyd’s and the Financial Conduct Authority have statutory responsibilities, including under Lloyd’s Acts 1871-1982 and the Financial Services and Markets Act 2000, in relation to the supervision of insurance business underwritten