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Showing 402 to 411 of 1736 search results for our Brexit consultations.

  1. PS21/1: Breathing space regulations - changes to our Handbook [pdf]

    Policy statements Published: 26/02/2021
    This policy statement follows consultation paper 20/21 and sets out changes we are making to the Handbook as a result of The Debt Respite Scheme.
  2. PS21/18: Restricting CMC charges for financial products and services claims [pdf]

    Policy statements Published: 29/11/2021
    This policy statement sets out new rules for claims management companies following our consultation in CP21/1.
  3. List of EEA market operators applying to become a recognised overseas investment exchange (ROIE)

    Statements Published: 30/01/2019 Last modified: 04/08/2021
    In September 2018, we published a direction (PDF) that clarified how market operators (as defined by MiFID II) from the European Economic Area (EEA) can apply to become a recognised overseas investment exchange (ROIE). This would enable EEA market
  4. PS21/24: Enhancing climate-related disclosures by asset managers, life insurers and FCA-regulated pension providers [pdf]

    Policy statements Published: 17/12/2021
    In this Policy Statement (PS 21/24), we summarise the feedback we received to our consultation and confirm our final policy position.
  5. Brexit – Temporary authorisation regime for data reporting services providers (DRSPs)

    Firms Markets Markets policy Published: 10/10/2018 Last modified: 14/12/2022
    The temporary authorisations regime for MiFID-authorised EEA DRSPs to provide a data reporting service in the UK ended on 31 December 2021.
  6. PS20/17: Proposals to enhance climate-related disclosures by listed issuers and clarification of existing disclosure obligations [pdf]

    Policy statements Published: 21/12/2020 Last modified: 21/12/2020
    We summarise the feedback to our consultation proposals in CP20/3 and confirm our final policy position.
  7. Changes to the Financial Promotions Order

    Statements Published: 06/03/2024 Last modified: 06/03/2024
    The FCA has carried out changes to Financial Promotion Order exemptions for high net worth individuals.
  8. PS20/16: Updating the dual-regulated firms Remuneration Code to reflect CRD V [pdf]

    Policy statements Published: 17/12/2020
    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.
  9. Immigration Act 2014

    Tasks for firms Published: 10/11/2015 Last modified: 29/02/2024
    The FCA explains how the Immigration Act 2014 prohibits banks and building societies from opening current accounts for people who are known not to have leave to remain in or to enter the UK.
  10. Brexit: information for retail investments firms in the UK

    Firms Published: 26/02/2019 Last modified: 21/06/2022
    If you have customers based in the EEA, find out what actions we expect you to have taken now the transition period is over.