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Version status: In force | Document consolidation status: Updated to reflect all known changes
Version date: 10 June 2019 - onwards
Version 2 of 2

Regulation 29 Permitted disclosure of confidential information

(1) The following provisions of the Financial Services and Markets Act 2000 (Disclosure of Confidential Information) Regulations 2001 [S.I. 2001/2188, as amended by S.I. 2013/472. There are other amendments, but they are not relevant.] ("the 2001 Regulations") apply with respect to information received under these Regulations or under the Act as applied by these Regulations -

(a) regulation 2 (interpretation) so far as necessary for the interpretation of the other provisions applied by this paragraph [See definitions of "the Act", "disciplinary proceedings authority", "prescribed disciplinary proceedings" and "regulators".];

(b) Part 2 (disclosure of confidential information generally);

(c) Part 4 (disclosure of confidential information not subject to single market restrictions);

(d) Schedule 1 (disclosure of confidential information whether or not subject to single market restrictions) so far as it has effect for the purposes of Part 4;

(e) Schedule 2 (disclosure of confidential information not subject to single market restrictions) so far as it has effect for the purposes of Part 4; and

(f) Schedule 3 (prescribed disciplinary proceedings).