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means a stock lending transaction in respect of which the conditions in Insurance Company – Risk Management 8.2 have been met.
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means the regulated activity, specified in article 53 of the Regulated Activities Order (Advising on investments).
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This term is defined externally, please refer to:
s417(1) FSMA
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has the meaning given in regulation 2(1) of the Electronic Money Regulations.
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means the amount of common equity tier 1 capital as defined in Article 50 of the CRR a firm or CRR consolidation entity must calculate in accordance with 4A.1 and 4A.2 of the Leverage Ratio – Capital Requirements and Buffers Part.
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that part of safeguarding and administering investments which consists solely of arranging for one or more other persons to carry on both:
(a) the safeguarding of assets belonging to another; and
(b) the administration of those assets.
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means the regulated activity, specified in article 64 of the Regulated Activities Order (Agreeing to carry on specified kinds of activity).
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means a relationship of one of the following kinds:
(1) where an institution exercises a significant influence over one or more institutions or financial institutions, but without holding a participation or other capital ties in these institutions; or
(2) where two or more institutions or financial institutions are placed under single management other than pursuant to a contract or clauses of their memoranda or articles of association.
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has the meaning given in regulation 2(1) of the Payment Services Regulations.