3d Investment Regulation
  • Login
  • Register

Contents

Site updated 6 Jan 2009

  • - Latest additions
  • - Events
  • - Deadlines
  • Regulation (FSA, ML, HMT etc)
    • Financial Services Authority
      • FSA - Financial Services Authority
      • FSA Handbook of Rules and Guidance
      • Annual Reports and Management Plans
      • Asset Management Newsletters
      • Best execution
      • Board Minutes
      • Capital Markets Bulletins
      • Client categorisation
      • Consultation Papers
      • Discussion Papers
      • Enforcement Notices and Application refusals
      • EU Documents
      • Factsheets and other Consumer Publications
      • General Insurance Newsletters
      • Handbook Development Newsletters
      • Handbook Legal instruments
      • Handbook Notices
      • Integrated Regulatory Reporting
      • Investment research
      • Life Insurance Newsletters
      • MiFID Related Documents
      • Occasional Papers
      • Organisation Chart
      • Other Reports
      • Outsourcing
      • Policy Statements
      • Press Releases
      • Recognised Bodies
      • Special Guides
      • Speeches
      • Statements
      • Waivers
    • International Jurisdictions
      • Regulatory authorities and supervisory agencies worldwide
      • Gibraltar
      • Guernsey
      • Ireland
        • Irish Financial Services Regulatory Authority
        • IFSRA Press Releases
        • IFSRA CIS Guidance Notes
        • IFSRA UCITS Notices
        • Department of Finance
        • William Fry
      • Isle of Man
      • Jersey
      • Luxembourg
      • International Jurisdictions
      • International Organisations
        • CEBS
        • CEIOPS
        • CESR
        • FATF
        • IAIS
        • OECD
        • International Organisations
    • Anti Money Laundering
      • Anti Money Laundering
      • Money Laundering Guidance Notes
      • 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
      • FATF Financial Action Task Force
      • FATF The Forty Recommendations
      • FSA Financial Crime Newsletters
      • Suggested MLRO good practice framework
      • Institute of Money Laundering Prevention Officers
        • Institute of Money Laundering Prevention Officers
        • Third Annual Conference 8 and 9 May 2006
    • Bank of England
      • Bank of England
      • Changes in Bank Rate
      • News Releases: Financial Sanctions: Terrorist Financing
      • Non-Investment Products Code
    • HM Treasury
      • HM Treasury
      • Consultation and other papers
      • News Releases
    • Credit Unions
      • CRED Credit Unions Specialist sourcebook
      • Credit Union Newsletters
    • Mortgages
      • Mortgages
      • MCOB Mortgages: Conduct of Business (FSA Handbook)
      • MORT Mortgages (FSA Handbook)
    • Insurance Company, Friendly Society, Pensions and Irish Regulations
    • Former Regulators
      • Self-Regulating Organisations (SROs) (no longer in being)
      • IMRO Investment Management Regulatory Organisation
      • PIA Personal Investment Authority
      • SFA Securities and Futures Authority
      • FIMBRA Financial Intermediaries, Managers & Brokers Regulatory Association
      • LAUTRO Life Assurance and Unit Trust Regulatory Organisation
  • FSA Handbook of Rules and Guidance
    • Contents
    • Glossary
      • A
      • B
      • C
      • D
      • E
      • F
      • G
      • H
      • I
      • J
      • K
      • L
      • M
      • N
      • O
      • P
      • Q
      • R
      • S
      • T
      • U
      • V
      • W
      • X
      • Y
      • Z
    • Rule-making instruments
      • 2008
      • 2007
      • 2006
      • 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
      • ENF 11.5 Action against approved persons
      • FiSMA Part V Performance of regulated activities
    • BIPRU Prudential sourcebook for Banks, Building Societies and Investment Firms
    • CASS Client Assets
    • CIS Collective Investment Schemes
    • COAF Complaints against the FSA
    • COB Conduct of Business
    • 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
    • ELM Electronic Money
    • FIT The Fit and Proper Test for Approved Persons
    • FEES Fees Manual
    • GEN General Provisions
    • GENPRU General Prudential
    • INSPRU Prudential sourcebook for Insurers
    • IPRU-INV Interim Prudential sourcebook for Investment Businesses
    • MAR Market Conduct
    • MCOB Mortgages: Conduct of Business
    • MIPRU Prudential sourcebook for Mortgage and Home Finance Firms, and Insurance Intermediaries
    • 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
      • SIFA Using the FSA Handbook: an Overview for small IFA firms
      • MIGI Small Mortgage and Insurance Intermediaries: Part I - General Rules
      • MOGI Small Mortgage and Insurance Intermediaries: Part II - Mortgage Intermediaries
      • GIGI Small Mortgage and Insurance Intermediaries: Part III - Insurance Intermediaries
    • 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
    • Not currently part of this product
      • ICOB Insurance: Conduct of Business
      • 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
  • Unit Trusts & OEICs (incl IMA)
    • IMA Investment Management Association
    • IMA Circulars
    • 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 Annual Conference
    • 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
      • 2008
      • 2007
      • 2006
      • 2005
      • 2004
      • 2003
      • 2002
      • 2001
      • 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
  • Europe
    • Europe
    • EC Press Releases
    • EC Speeches
    • Member States
    • Members of the Euro Zone
    • CESR Committee of European Securities Regulators
    • FATF Financial Action Task Force
    • OECD Organisation for Economic Co-operation and Development
    • 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
  • UK Listing
    • LR Listing Rules
    • PR Prospectus Rules
    • DTR Disclosure Rules and Transparency Rules
    • UKLA UK Listing Authority
    • UKLA Publication: LIST! Newsletters
    • UKLA Publication: Market Watch Newsletters
    • London Stock Exchange
    • City Code on Takeovers and Mergers
    • Rules of the London Stock Exchange
    • Panel on Takeovers and Mergers
  • 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
    • Stamp Office
    • Statements of Practice
    • Shares of Negligible Value
    • Tax Bulletins
    • Tax Regulations
      • Capital Gains Tax
      • Child Trust Funds
      • Corporation Tax
      • Income Tax
      • ISAs Individual Savings Accounts
      • OEICs Open-ended Investment Companies
      • PEPs Personal Equity Plans
      • Pensions
      • SDRT Stamp Duty and Stamp Duty Reserve Tax
      • Unit Trusts
      • Finance Acts/Bills
      • Value Added Tax
  • Trustees & Depositaries
    • BoNY Bank of New York Trust & Depositary Co Ltd
    • BBH Brown Brothers Harriman Investor Services Limited
    • CTCL Citicorp Trustee Company Limited
  • Accounting and Other items
    • Accounting
      • ACCA Financial Services Network Programme
      • ACCA Professional Courses 2009
      • SORPs Statements of Recommended Practice
      • IMA SORP Financial Statements of Authorised Funds
      • SORP for Financial Statements of Investment Trust Companies
      • ASB UK Accounting Standards
      • IASC International Accounting Standards
      • Reporting Standards
    • Charity Commissioners
    • Pension Fund Pooling Vehicles
    • Association of Investment Trust Companies
  • 3d JMLSG Anti Money Laundering Guidance
    • Anti Money Laundering
    • 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
    • Anti-terrorism, Crime and Security Act 2001
    • Counter-Terrorism Act 2008
    • European ML Directives - Versions held within 3d
    • ML Guidance - Versions held within 3d
    • ML Regulations - Versions held within 3d
    • Terrorism Act 2006
  • 3d Irish
    • Irish Financial Services Regulatory Authority
      • News Articles
    • Department of Finance
      • Press Releases
  • Abbreviations
  • Additional 3d products
  • Home

© 3d Investments Ltd 2009

Contents > Taxation > ISAs, PEPs & CTFs > TISA - the Tax Incentivised... > TISA - Tax Incentivised...
Page last published: 31 December 2008

&187; Advanced search

  • Previous
  • Next
  • Bookmark
  • Print

TISA - Tax Incentivised Savings Association

Website: www.tisa.uk.com

3d Investment Regulation is a subscription based service.
Only subscribers to 3d Investment Regulation can view the full article.
NB: The full text of material from the trade associations IMA and TISA
       is available only to members of those trade bodies.

If you are a subscriber, please login:




(Need a password reminder?)

Single-User & Company Licences are available as follows:

7 days 1-user licence

£100

£115.00 with 15% vat

31 days 1-user licence

£300

£345.00 with 15% vat

Annual 1-user licence

£1,200

£1,380.00 with 15% vat

Annual 3-user licence

£2,700

£3,105.00 with 15% vat

Annual company licence

£5,800

£6,670.00 with 15% vat

Annual group licence

£6,670

£7,670.50 with 15% vat

After registering, instant access is available following secure online payment by debit or credit card

View more information about our licences; or email us to enquire about purchasing a licence.

Need access to the online solution to anti money laundering requirements in the UK?
See 3d's JMLSG Guidance Notes - view the pricing for licences; or please email us.

Otherwise, find out more about 3d Investment Regulation or register with us.


Other products

FSAssist - the FSA Returns spreadsheet-based system
3d JMLSG, including guidance on the Prevention of Money Laundering and the Financing of Terrorism for the Financial Services Industry
Penumbra - pension regulations service

  • Top of page
  • Previous page
  • Next page
  • User Guide
  • Site map
  • Accessibility
  • Terms & Conditions
  • Your privacy
  • About us
  • Copyright notice