APER 3
Code of Practice for Approved Persons: general
APER 3.1
Introduction
- 01/12/2004
APER 3.1.1
See Notes
- 01/04/2005
APER 3.1.2
See Notes
- 01/12/2001
APER 3.1.3
See Notes
- 01/12/2001
APER 3.1.4
See Notes
- (1) An approved person will only be in breach of a Statement of Principle where he is personally culpable. Personal culpability arises where an approved person's conduct was deliberate or where the approved person's standard of conduct was below that which would be reasonable in all the circumstances (see DEPP 6.2.4 G (Action against approved persons under section 66 of the Act)).
- (2) For the avoidance of doubt, the Statements of Principle do not extend the duties of approved persons beyond those which the firm owes in its dealings with customers or others.
- 28/08/2007
APER 3.1.5
See Notes
In particular, in determining whether or not an approved person's conduct complies with a Statement of Principle, the FSA will take into account the extent to which an approved person has acted in a way that is stated to be in breach of a Statement of Principle.
- 01/12/2001
APER 3.1.6
See Notes
- 01/12/2001
APER 3.1.7
See Notes
- 01/04/2009
APER 3.1.8
See Notes
- 01/12/2001
APER 3.1.9
See Notes
UK domestic firms listed on the London Stock Exchange are subject to the UK Corporate Governance Code, whose internal control provisions are amplified in the publication entitled "Internal Control: Revised Guidance for Directors on the Combined Code (October 2005)" issued by the Financial Reporting Council. FSA-regulated firms in this category will thus be subject to that code as well as to the requirements and standards of the regulatory system. In forming an opinion whether approved persons have complied with its requirements, the FSA will give due credit for their following corresponding provisions in the UK Corporate Governance Code and related guidance.
- 06/08/2010
APER 3.2
Factors relating to all Statements of Principle
- 01/12/2004
APER 3.2.1
See Notes
- (1) whether that conduct relates to activities that are subject to other provisions of the Handbook;
- (2) whether that conduct is consistent with the requirements and standards of the regulatory system relevant to his firm.
- 01/12/2001
APER 3.3
Factors relating to Statements of Principle 5 to 7
- 01/12/2004
APER 3.3.1
See Notes
- (1) whether he exercised reasonable care when considering the information available to him;
- (2) whether he reached a reasonable conclusion which he acted on;
- (3) the nature, scale and complexity of the firm's business;
- (4) his role and responsibility as an approved person performing a significant influence function;
- (5) the knowledge he had, or should have had, of regulatory concerns, if any, arising in the business under his control.
- 01/12/2001