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Site updated 30 Jul 2010

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    • Anti Money Laundering
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      • Money Laundering Regulations 2007
      • Proceeds of Crime Act 2002
      • Second Money Laundering Directive (2001/97/EEC)
      • Third Money Laundering Directive (2005/60/EEC)
      • BBA British Bankers' Association
      • JMLSG Joint Money Laundering Steering Group
      • SOCA The Serious Organised Crime Agency
      • OECD Organisation for Economic Co-operation and Development
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      • MORT Mortgages (FSA Handbook)
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    • Former Regulators
      • Self-Regulating Organisations (SROs) (no longer in being)
      • IMRO Investment Management Regulatory Organisation
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  • FSA Handbook of Rules and Guidance
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    • Rule-making instruments
      • 2010
      • 2009
      • 2008
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      • 2005
      • 2004
      • 2003
      • 2002
      • 2001
    • Approved Persons Regime
      • APER Statements of Principle and Code of Practice for Approved Persons
      • FIT The Fit and Proper Test for Approved Persons
      • SUP 10 Approved persons
      • Approved Persons Regime Forms
      • Approved Persons Regime - summary of forms and their use
      • SUP 10.4 Specification of functions
      • SUP 10.4.5 Table of Controlled functions
      • FiSMA Part V Performance of regulated activities
    • BCOBS Banking Conduct of Business
    • BIPRU Prudential sourcebook for Banks, Building Societies and Investment Firms
    • CASS Client Assets
    • COAF Complaints against the FSA
    • COBS New Conduct of Business sourcebook
    • COLL New Collective Investment Schemes
    • COMP Compensation
    • COND Threshold Conditions
    • CRED Credit Unions
    • DEPP Decision Procedure and Penalties
    • DISP Dispute resolution: Complaints
    • DTR Disclosure Rules and Transparency Rules
    • ELM Electronic Money
    • FEES Fees Manual
    • FIT The Fit and Proper Test for Approved Persons
    • GEN General Provisions
    • GENPRU General Prudential
    • ICOBS Insurance: Conduct of Business
    • INSPRU Prudential sourcebook for Insurers
    • IPRU-BANK Interim Prudential sourcebook for Banks
    • IPRU-BSOC Interim Prudential sourcebook for Building Societies
    • IPRU-FSOC Interim Prudential sourcebook for Friendly Societies
    • IPRU-INS Interim Prudential sourcebook for Insurance
    • IPRU-INV Interim Prudential sourcebook for Investment Businesses
    • LR Listing Rules
    • MAR Market Conduct
    • MCOB Mortgages: Conduct of Business
    • MIPRU Prudential sourcebook for Mortgage and Home Finance Firms, and Insurance Intermediaries
    • PR Prospectus Rules
    • PRIN Principles for Businesses
    • PROF Professional Firms
    • RCB Regulated Covered Bonds
    • REC Recognised Investment Exchanges and Recognised Clearing Houses
    • SUP Supervision Manual
    • SYSC Senior Management Arrangements, Systems and Controls
    • TC Training and Competence
    • UPRU Prudential sourcebook for UCITS Firms
    • Special guides (not part of Handbook)
      • EMPS Energy Market Participants
      • OMPS Oil Market Participants
      • SERV Service companies
    • Regulatory Guides
      • BSOG The Building Societies Regulatory Guide
      • COLLG The Collective Investment Scheme Information Guide
      • EG The Enforcement Guide
      • PERG Perimeter Guidance Manual
      • RPPD Responsibilities for Fair Treatment of Customers
      • UNFCOG Unfair Contract Terms
    • Interim Permitted Persons
    • Unauthorised mutuals registration fees rules
    • BIPRU 13.3 Calculation of exposure values
  • Unit Trusts & OEICs (incl IMA)
    • IMA Investment Management Association
    • IMA Circulars
    • Funds-Axis
    • BIPRU Prudential sourcebook for Banks, Building Societies and Investment Firms
    • CASS Client Assets sourcebook
    • CIS Collective Investment Schemes
    • COBS 3.5 Professional clients
    • COBS 3.6 Eligible counterparties
    • COLL New Collective Investment Schemes
    • COLL 5.2 General investment powers and limits for UCITS schemes
    • COLL 6.2 Dealing
    • COLL 6.3 Valuation and pricing
    • COLL 6.8 Income: accounting, allocation and distribution
    • Eligible Assets Directive
    • FSA Asset Management Newsletters
    • IPRU-INV Interim Prudential Sourcebook: Investment Business
    • OEIC Regulations 2001
    • SORP for authorised funds
    • UCITS Directive
    • UCITS Section V Obligations re investment policies
    • UPRU Prudential sourcebook for UCITS Firms
  • ISAs, PEPs & CTFs (incl TISA)
    • TISA Tax Incentivised Savings Association
      • Contact details
    • TISA Technical Bulletins
    • ISA (and PEP) Bulletins
    • ISA Regulations
    • ISA Guidance Notes
    • ISA GN 4 Applications and Terms and Conditions
    • ISA Regulations Glossary
    • CTFs Child Trust Funds
    • CTF Bulletins
    • PEP Regulations
    • PEP Regulations Glossary
  • Legislation (Acts & SIs)
    • FiSMA Financial Services and Markets Act 2000
    • FiSMA 2000 Schedule 2 Regulated Activities
    • Statutes (Acts)
      • Statutes Listing
      • Bank of England Act 1998
      • Child Trust Funds Act 2004
      • Companies Act 1985
      • Companies Act 1989
      • Companies Act 2006
      • Criminal Justice Act 1993
      • Data Protection Act 1998
      • Electronic Communications Act 2000
      • Enterprise Act 2002
      • FiSMA Financial Services and Markets Act 2000
      • Income and Corporation Taxes Act 1988
      • Income Tax Act 2007
      • Insolvency Act 1986
      • Investment Exchanges and Clearing Houses Act 2006
      • Land Registration Act 2002
      • Law of Property Act 1925
      • Limited Liability Partnerships Act 2000
      • Powers of Attorney Act 1971
      • Proceeds of Crime Act 2002
      • Regulation of Financial Services (Land Transactions) Act 2005
      • Sarbanes-Oxley Act of 2002
      • Serious Organised Crime and Police Act 2005
      • Taxation of Chargeable Gains Act 1992
      • Terrorism Act 2000
      • Terrorism Act 2006
      • Trustee Act 1925
      • Trustee Act 2000
      • Trustee Investments Act 1961
      • Trusts of Land and Appointment of Trustees Act 1996
      • Unit Trust Records Regulations 1946
      • Welfare Reform and Pensions Act 1999
    • Statutory Instruments (SIs)
      • Statutory Instruments
      • 2010
      • 2009
      • 2008
      • 2007
      • 2006
      • 2005
      • 2004
      • 2003
      • 2002
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      • 2000
      • 1999
      • 1998
      • 1997
      • 1996
      • 1995
      • 1994
      • 1993
      • 1992
      • 1991
      • 1990
      • 1989
      • 1988
      • 1946
    • Regulated Activities Order (SI 2001/544)
    • Trustee Act 2000
    • Proceeds of Crime Act 2002
    • Data Protection Act 1998
    • Case Law - BAILII
  • Europe
    • Europe
    • EC Press Releases
    • EC Speeches
    • Member States
    • Members of the Euro Zone
    • European Directives
      • European Directives
      • Banking Consolidation (Credit Institutions)
      • CRD Capital Requirements
      • Deposit-Guarantee Schemes
      • Distance Marketing
      • Distance Selling (Telesales)
      • Eligible Assets
      • Fair Value
      • Financial Groups (Financial Conglomerates)
      • Investor-Compensation Schemes
      • Life Assurance
      • Market Abuse
      • Mergers and Acquisitions
      • MiFID (Markets in Financial Instruments)
      • Money Laundering
      • Payment Services
      • PLC Safeguards
      • Prospectus
      • Savings
      • Settlement Finality
      • Transparency
      • UCITS
      • Unfair Commercial Practices
    • FATF Financial Action Task Force
    • CESR Committee of European Securities Regulators
    • CEBS Committee of European Banking Supervisors
    • CEIOPS Committee of European Insurance and Occupational Pensions Supervisors
    • OECD Organisation for Economic Co-operation and Development
  • Insurance
    • FSA Handbook of Rules and Guidance
      • COBS New Conduct of Business sourcebook
      • GENPRU General Prudential sourcebook
      • ICOBS Insurance: Conduct of Business
      • INSPRU Prudential sourcebook for Insurers
      • IPRU(FSOC) Interim Prudential sourcebook for Friendly Societies
      • IPRU(INS) Interim Prudential Sourcebook: Insurers
      • MIPRU Prudential sourcebook for Mortgage and Home Finance Firms, and Insurance Intermediaries
      • Unauthorised mutuals registration fees rules
    • FSA Life Insurance Newsletters
    • Insurance Company Regulations
  • Credit Unions
    • Credit Union Newsletters
    • CRED Credit Unions Specialist sourcebook
  • Taxation
    • HMRC HM Revenue & Customs
    • Rates of Tax and Allowances
    • VAT Value Added Tax
    • Business Briefs
    • Consultation Documents, Discussion Papers, Policy Statements
    • Extra-Statutory Concessions
    • Finance Acts
    • FICO Financial Intermediaries and Claims Office
    • Guidance Notes
      • Manual: CTM48000 - Authorised investment funds
      • ISA Guidance Notes
      • SDRT regime for UTs and OEICs
      • Stamp Taxes Manual
    • Income and Corporation Taxes Act 1988 (Extracts from)
    • Income Tax Act 2007
    • ISAs, PEPs & CTFs
      • CTF Child Trust Funds
      • ISA Regulations
      • ISA Regulations Glossary
      • ISA Guidance Notes
      • ISA (& PEP) Bulletins
      • PEP Regulations
      • PEP Regulations Glossary
      • TISA - the Tax Incentivised Savings Association
    • Offshore funds that have applied for and been granted UK distributor status
    • Press Releases
    • Publications
    • Recognised Stock Exchanges
    • RPI - Retail Prices Index
    • Shares of Negligible Value
    • Stamp Office
    • Statements of Practice
    • Tax Bulletins
    • Tax Regulations
      • Capital Gains Tax
      • Child Trust Funds
      • Corporation Tax
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      • ISAs Individual Savings Accounts
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      • PEPs Personal Equity Plans
      • Pensions
      • SDRT Stamp Duty and Stamp Duty Reserve Tax
      • Unit Trusts
      • Finance Acts/Bills
      • Value Added Tax
  • UK Listing
    • LR Listing Rules
    • PR Prospectus Rules
    • DTR Disclosure Rules and Transparency Rules
    • UKLA UK Listing Authority
    • LIST! Newsletters
    • Market Watch Newsletters
    • London Stock Exchange
    • London Stock Exchange Notices
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    • City Code on Takeovers and Mergers
    • Panel on Takeovers and Mergers
  • Trustees & Depositaries
    • BNY Mellon Trust & Depositary
    • BBH Brown Brothers Harriman Investor Services Limited
    • CTCL Citicorp Trustee Company Limited
  • Accounting and Other items
    • Accounting
      • ACCA Financial Services Network Programme
      • Reporting Standards
      • IMA SORP Financial Statements of Authorised Funds
      • SORPs Statements of Recommended Practice
      • ASB UK Accounting Standards
      • IASC International Accounting Standards
      • SORP for Financial Statements of Investment Trust Companies
      • PricewaterhouseCoopers: news releases
      • Manual Watch List Checking
    • Charity Commissioners
    • Pension Fund Pooling Vehicles
    • Association of Investment Trust Companies
  • 3d JMLSG Anti Money Laundering Guidance
    • Anti Money Laundering
    • Manual Watch List Checking
    • Money Laundering Guidance Notes
    • Money Laundering Regulations
    • Proceeds of Crime Act 2002
    • 2nd Money Laundering Directive (2001/97/EEC)
    • 3rd Money Laundering Directive (2005/60/EEC)
    • FATF Financial Action Task Force
      • FATF Financial Action Task Force
      • FATF The Forty Recommendations
    • SOCA The Serious Organised Crime Agency
    • JMLSG Joint Money Laundering Steering Group
    • Terrorism Act 2000
    • ML Regulations - Versions held within 3d
    • Terrorism Act 2006
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    • European ML Directives - Versions held within 3d
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Financial Services Authority
Material copied under licence
© Financial Services Authority. All rights reserved

Regulatory authorities and supervisory agencies worldwide

The Financial Services Authority (FSA) is the independent watchdog set up by government under the Financial Services and Markets Act 2000 to regulate financial services in the UK, and protect the rights of retail customers. The FSA's aims are to maintain efficient, orderly and clean financial markets and help customers get a fair deal. Their funding comes from levies on the firms they regulate.

Contact details

Handbook publications (including Handbook of Rules and Guidance)

Corporate documents

Policy documents (including Consultation Papers, Policy Statements,
Discussion Papers)

Communication documents (including Press Releases, Speeches and Disciplinary Notices)

Research

International and EU (including EU Documents and MiFID Related Documents)

Other publications

Pre-FSA regulatory material

Handbook publications

FSA Handbook of Rules and Guidance

Handbook material

Guidance notes

Published waivers

Best execution

Investment research

Integrated Regulatory Reporting

Regulated Covered Bonds Register

Handbook Notices

Handbook Development Newsletters

Rule-making instruments

Tribunal Decisions

Corporate documents

The Turner review

Annual Public Meetings

Annual Reports

Board Meetings: summary minutes

Business Plans

Financial Risk Outlooks

International Regulatory Outlooks

Memorandums of understanding

Annual Reports and Management Plans

Other Reports

The FSA Board

Organisation Chart

Policy documents

Consultation papers

Discussion Papers

Policy Statements

Occasional Papers

Pre-FSA regulatory material

Historic Listing Rules

Communication documents

Dear CEO letters

Enforcement Notices and Application refusals

Press Releases

Speeches

Statements

Forms

Asset Management Newsletters

Life Insurance Newsletters

Financial Crime Newsletters

General Insurance Newsletters

Credit Union Newsletters

Mortgage Advisors Newsletters

List! Newsletters

Mortgage Lender Briefings

Capital Markets Bulletins

Consumer Sector Team Newsletters

Research

Consumer research

Economic research

International and EU

EU Documents

Transparency Directive 

MiFID Related Documents

CRD/Basel 2 documentation

Better regulation

Payment Services Directive

Client categorisation

Outsourcing

Solvency 2 Liquidity
Stress Testing  

Other publications

Confirmed Industry Guidance

List of banks

Pensions Review

FSAVC

UK Listing Authority

UKLA Publications

Comparative Tables

Grandfathering

Publications Update

Factsheets and other Consumer Publications

Fee Calculator  

Recognised Bodies (RIEs, RCHs, ROIEs, ROCHs, DIEs & Regulated Markets)

Pre-FSA regulatory material (Pre-N2 items)

On 28 October 1997 the Securities and Investments Board (SIB) changed its name to the Financial Services Authority (FSA). The FSA continues to exercise all the functions which the SIB had under the Financial Services Act 1986 and continued to be the designated agency under that Act until midnight on 30 November 2001 (N2) when the Financial Services and Markets Act 2000 came fully into operation.

All references to the SIB should now be read as references to the FSA.

On 20 October 1997 the Board made a rule which allows authorised persons to refer to the SIB or the FSA on their stationery or any other document.

Previous Regulators: IMRO; PIA; SFA; FIMBRA; LAUTRO

The organisations which will make up the FSA

Meeting our Responsibilities

Statements of Principle

Rules and Regulations

Release List of Rules and Regulations

The FSA - an Outline: Paper published on 28 October 1997

Guidance Releases

Banking Supervision

List of Authorised Credit Institutions

Wholesale Markets Supervision

Year 2000

 

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