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UK Financial Services Law
Legislation (UK)
Statutory Instruments
2001
Information
Table of Contents
Table of Contents
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Financial Services and Markets Act 2000 (Disclosure of Confidential Information) Regulations 2001 [SI 2001 No. 2188]
Introductory Text
Part I Preliminary (regs. 1-2)
Regulation 1 Citation and Commencement
Regulation 2 Interpretation
Part II Disclosure of Confidential Information Generally (regs. 3-7)
Regulation 3 Disclosure by and to the regulators, the Secretary of State and the Treasury etc.
Regulation 4 Disclosure for the purposes of criminal proceedings and investigations
Regulation 5 Disclosure for the purposes of certain other proceedings
Regulation 6 Disclosure in pursuance of a Community obligation
Regulation 7 Restrictions on use of confidential information
Part III Disclosure of specified confidential EU law information and UCITS Directive Information (regs. 8-10C and draft reg. 10D)
Regulation 8 Application of this Part
Regulation 9 Disclosure by regulators or regulator workers to certain other persons
Regulation 10 Disclosure by Schedule 1 person
Regulation 10A Disclosure of recovery and resolution information
Regulation 10B Assessment of effects of disclosure
Regulation 10C Disclosure of capital requirements directive information to International Financial Institutions
Regulation 10D Disclosure of information in order to publish a stress test in relation to insurance undertakings and reinsurance undertakings
Part IV Disclosure of Confidential Information not Subject to retained EU law restrictions (regs. 11-18)
Regulation 11 Application of this Part
Regulation 12 Disclosure by and to a Schedule 1 or 2 person or disciplinary proceedings authority
Regulation 12A The Gambling Commission
Regulation 12B Electronic commerce
Regulation 12C Proceedings under the Proceeds of Crime Act 2002
Regulation 12D Disclosure of information in order to publish a stress test in relation to insurance undertakings and reinsurance undertakings
Chapter 1 Transitional Provisions Applicable Before IP Completion Day (regs. 13-17)
Regulation 13 Interpretation
Regulation 14 Disclosure of pre-commencement information
Regulation 15 Disclosure of transitional information
Regulation 16 Disclosure by recognised self-regulating organisations
Regulation 17 Investment services directive information: transitional provision
Chapter 2 Transitional Provision Applicable on or after IP Completion Day (reg. 18)
Regulation 18 Transitional provision applicable on or after IP Completion Day
Schedule 1 Disclosure of Confidential Information whether or not Subject to retained EU law restrictions
Schedule 1, Part 1
Schedule 1, Part 2
Schedule 1, Part 3
Schedule 1, Part 4
Schedule 1, Part 5
Schedule 1, Part 6
Schedule 2 Disclosure of Confidential Information not Subject to retained EU law restrictions
Schedule 3 Prescribed Disciplinary Proceedings
Signature
Explanatory Note
Document Overview
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https://service.betterregulation.com/document/138424
Financial Services and Markets Act 2000 (Disclosure of Confidential Information) Regulations 2001 [SI 2001 No. 2188]
Schedule 1 Disclosure of Confidential Information whether or not Subject to retained EU law restrictions
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Schedule 1 Disclosure of Confidential Information whether or not Subject to retained EU law restrictions
Schedule 1, Part 1
Schedule 1, Part 2
Schedule 1, Part 3
Schedule 1, Part 4
Schedule 1, Part 5
Schedule 1, Part 6
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