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UK Financial Services Law
Legislation (UK)
Statutory Instruments
2004
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Table of Contents
Table of Contents
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Financial Conglomerates and Other Financial Groups Regulations 2004 [SI 2004 No. 1862]
Introductory Text
Part 1 Introduction (reg. 1)
Regulation 1 Citation, commencement and interpretation
Part 2 Exercise of supplementary supervision of regulated entitiesin a financial conglomerate (regs. 2-6)
Regulation 2 Notification of identification as a financial conglomerate and choice of co-ordinator
Regulation 3 Exercise of functions under Part IV of the Act for the purposes of carrying on supplementary supervision
Regulation 4 Exercise of functions under section 138A of the Act for the purposes of carrying on supplementary supervision
Regulation 5 Consultation in the case of major sanctions or exceptional measures
Regulation 6 Regulator functions and service of notifications
Part 3 Supplementary supervision of third-country financial conglomerates and third-country groups (regs. 7-10)
Regulation 7 Supervision of third-country financial conglomerates and third-country groups - interpretation
Regulation 8 Supervision of third-country financial conglomerates
Regulation 9 Supervision of third-country banking groups
Regulation 10 Supervision of third-country groups subject to the capital requirements regulation and capital requirement directive
Part 4 Provisions relating to information (regs. 11-12)
Regulation 11 Disclosure of confidential information
Regulation 12 Obtaining information - avoidance of duplication of reporting
Part 5 Miscellaneous (regs. 13-24)
Regulation 13 Consultation on change of control
Regulation 14 References to existing directives
Regulation 15 Extension of power to vary Part IV permissions
Thresholds for identifying a financial conglomerate (regs. 16-20)
Regulation 16
Regulation 17
Regulation 18
Regulation 19
Regulation 20
Scope of supplementary supervision of regulated entities (regs. 21-23A)
Regulation 21
Regulation 22
Regulation 23
Regulation 23A Interpretation of regulations 16 to 23
Regulation 24 Capital adequacy
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Explanatory Note
Explanatory Memorandum
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https://service.betterregulation.com/document/140363
Financial Conglomerates and Other Financial Groups Regulations 2004 [SI 2004 No. 1862]
Part 5 Miscellaneous (regs. 13-24)
Regulation 13 Consultation on change of control
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Version status:
Revoked
| Document consolidation status:
Updated to reflect all known changes
Version date: 1 January 2014 - onwards
Version 3 of 3
Regulation 13 Consultation on change of control
Revoked from 1 January 2014
[deleted]
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