(1) Where the Pensions Authority is -
(a) in the course of a supervisory review under section 26J,
(b) following receipt of a stress-test under section 26L, or
(c) following receipt of a Part VIB compliance statement under section 26T,
of the opinion that the information provided to it by, or pursuant to, the supervisory review, stress-test or Part VIB compliance statement -
(i) is not sufficient for it to determine, for the purposes of the prudential supervision of a scheme or trust RAC, that the scheme or trust RAC is, or the trustees of such scheme or trust RAC are, in compliance with one, or more, of the provisions specified in subsection (2), or
(ii) has given grounds for concern as to whether the scheme or trust RAC is, or the trustees of such scheme or trust RAC are, for the purposes of prudential supervision of a scheme or trust RAC, in compliance with Part VIB,
the Pensions Authority may, by notice in writing given to the trustees of the scheme or trust RAC concerned, require
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