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UK Financial Services Law
Legislation (UK)
Statutory Instruments
2011
Information
Table of Contents
Table of Contents
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Investment Bank Special Administration Regulations 2011 [SI 2011 No. 245]
Introductory Text
Regulation 1 Citation and commencement
Regulation 2 Interpretation
Regulation 3 Overview
Regulation 4 Special administration order
Regulation 5 Application
Regulation 6 Grounds for applying
Regulation 7 Powers of the court
Regulation 8 Notice to appropriate regulator of preliminary steps to other insolvency proceedings
Regulation 9 Application where investment bank is a deposit-taking bank
Regulation 10 Special administration objectives
Regulation 10A Objective 1 - duty of administrator to work with the FSCS
Regulation 10B Objective 1 - transfer of client assets
Regulation 10C Restrictions on partial property transfers - general provision
Regulation 10D Restrictions on partial property transfers - set-off and netting arrangements
Regulation 10E Restrictions on partial property transfers - security interests
Regulation 10F Restrictions on partial property transfers - capital market arrangements
Regulation 10G Restrictions on partial property transfers - financial markets
Regulation 10H Objective 1 - post-administration reconciliation of accounts and records relating to client money
Regulation 10I Objective 1 - removal of right to interest on unsecured claims for the return of client money
Regulation 11 Objective 1 - distribution of client assets
Regulation 12 Objective 1 shortfall in client assets held in omnibus account
Regulation 12A Objective 1 - distribution of client money
Regulation 12B Objectives 1 and 3 - client assets (other than client money) which the administrator is unable to return to clients
Regulation 12C Objectives 1 and 3 - client money which the administrator is unable to return to clients
Regulation 12D Powers of the court on application to set a hard bar date
Regulation 12E Bar date notices - procedural requirements
Regulation 12F Costs of making a claim
Regulation 13 Objective 2 - engaging with market infrastructure bodies and the Authorities
Regulation 14 Continuity of supply
Regulation 15 General powers, duties and effect
Regulation 16 Appropriate regulator
Regulation 17 Administrator's proposals in the event of Appropriate regulator direction
Regulation 18 Revision of proposals in the event of Appropriate regulator direction
Regulation 19 Appropriate regulator direction withdrawn
Regulation 19A Responsibility for certain costs of the administration
Regulation 20 Successful rescue
Regulation 21 Dissolution or voluntary arrangement
Regulation 22 Special administration order as an alternative order
Regulation 23 Disqualification of directors
Regulation 24 Limited liability partnerships
Regulation 25 Partnerships
Regulation 26 Northern Irish equivalent enactments
Regulation 27 Modifications and consequential amendments to legislation
Schedule 1 Special administration (bank insolvency)
Schedule 2 Special administration (bank administration)
Schedule 3 Application of these Regulations to limited liability partnerships
Schedule 4 Application of these Regulations to partnerships
Schedule 5 Table of enactments referred to in these Regulations together with the equivalent enactment having effect in relation to Northern Ireland
Schedule 6 Modifications and consequential amendments
Schedule 6, Part 1
Schedule 6, Part 2 Specific modifications
Schedule 6, Part 3 Consequential amendments
Signature
Explanatory Note
Explanatory Memorandum
Impact Assessment
Document Overview
Document Overview
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https://service.betterregulation.com/document/252805
Investment Bank Special Administration Regulations 2011 [SI 2011 No. 245]
Explanatory Memorandum
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Version status: | Document consolidation status:
Updated to reflect all known changes
Version date: 7 February 2011 - onwards
Explanatory Memorandum
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