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Showing 1241 to 1250 of 4150 search results for insurance policies.
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PS18/24: Approach to final Regulatory Technical Standards and EBA guidelines under the revised Payment Services Directive (PSD2) [pdf]
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PS19/2: Previously rejected PPI complaints and further mailing requirements – Feedback on CP18/33 and final rules and guidance [pdf]
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CP16/27: Applying conduct rules to all non-executive directors in the banking and insurance sectors [pdf]
We are consulting on applying our Code of Conduct sourcebook (COCON) to standard non-executive directors (NEDs) in banks, building societies, credit unions and dual-regulated investment firms (relevant authorised persons - RAPs) and insurance -
PS14/9: Review of the client assets regime for investment business [pdf]
This policy statement makes changes to the rules in Client Assets sourcebook (CASS). -
PS18/17: The European Money Market Funds (MMF) Regulation [pdf]
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PS18/18: Industry Codes of Conduct and Feedback on FCA Principle 5 [pdf]
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Complaints handling review findings
The findings of our review of how Non-deposit Taking Mortgage Lenders (NDTMLs) and Mortgage Third-Party Administrators (MTPAs) handle complaints. -
PS13/8 - FCA regime for consumer credit: carrying across some Consumer Credit Act secondary legislation into FCA rules [pdf]
This policy statement sets out our decision about carrying across some Consumer Credit Act (CCA) secondary legislation into FCA rules. -
PS13/6 - FCA regulated fees and levies 2013/14 - Including feedback on CP13/1 and ‘made rules’ [pdf]
In this Policy Statement we report on the main issues arising from Consultation Paper 13/1 (FCA Regulated fees and levies: Rates proposals 2013/14) and publish the final rules. -
PS13/4 - Financial Conglomerates Directive – Technical Review Amendments [pdf]
In this Policy Statement we report on the main issues arising from FSA Consultation Paper 12/40 (Financial Conglomerates Directive – Technical review amendments) and publish the final rules.