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The Treasury, being a government department designated[1] for the purposes of section 2(2) of the European Communities Act 1972[2] in relation to information society services, in exercise of the powers conferred by that section, and the powers conferred by sections 349(1), 414 and 428(3) of the Financial Services and Markets Act 2000[3], hereby make the following Regulations: Citation and commencement 1. These Regulations may be cited as the Electronic Commerce Directive (Financial Services and Markets) Regulations 2002, and come into force -
(b) otherwise, on 21st August 2002.
Interpretation
(b) relating to the goods, services or image of that person provided that the communication has been prepared independently of the person making it (and for this purpose, a communication prepared without financial consideration is to be taken to have been prepared independently unless the contrary is shown);
(b) which would, but for article 72A[7] of the Regulated Activities Order (and irrespective of the effect of article 72 of that Order), be a regulated activity within the meaning of the 2000 Act;
(b) Article 1(f) of Directive 92/51/EEC of the Council of the European Communities of 18 June 1992 on a second general system for the recognition of professional education and training to supplement Directive 89/48/EEC[10];
(2) A reference in these Regulations to a requirement imposed by the Authority under these Regulations is a reference to -
(b) a requirement imposed by a rule applicable to incoming providers in accordance with regulation 3(4).
(3) For the purposes of these Regulations -
(b) the presence or use in a particular place of equipment or other technical means of providing an information society service does not, of itself, constitute that place as an establishment of the kind mentioned in sub-paragraph (a); (c) where it cannot be determined from which of a number of establishments a given information society service is provided, that service is to be regarded as provided from the establishment where the provider has the centre of his activities relating to the service; (d) a communication by electronic mail is to be regarded as unsolicited, unless it is made in response to an express request from the recipient of the communication.
Consumer contract requirements: modification of rule-making power 3. - (1) The power to make rules conferred by section 138 of the 2000 Act is to be taken to include a power to make rules applying to unauthorised incoming providers. (2) In consequence of paragraph (1) -
(b) any reference in those sections to a regulated activity includes a reference to an incoming electronic commerce activity.
(3) For the purpose of the exercise by the Authority of the power conferred by section 138 of the 2000 Act to make rules applying to incoming providers with respect to the carrying on by them of incoming electronic commerce activities, subsections (7) and (9) of that section have effect as if the reference to "person" where first occurring were a reference to an individual acting for purposes other than those of his trade, business or profession.
(b) apply with respect to communications that constitute an advertisement by the operator of a UCITS Directive scheme of units in that scheme; or (c) relate to the permissibility of unsolicited commercial communications by electronic mail.
(5) A consumer contract rule may provide that conduct engaged in by a person to whom the rule applies, and which is in conformity with a provision corresponding to the rule made by a body or authority in an EEA State other than the United Kingdom, is to be treated as conduct in conformity with the rule.
(b) as to the manner in which such information is to be provided.
(7) "Consumer contract rule" means a rule made by the Authority under section 138 of the 2000 Act which imposes a consumer contract requirement on incoming providers.
(b) if the supplier has a representative established in the consumer's country of residence with whom the consumer is to have dealings, the identity and geographic address of the representative, and any other geographic address relevant to the consumer's relations with the representative; (c) if the consumer is to have dealings with any professional person in connection with the contract, the identity of that person, a statement of the capacity in which he is to act, and the geographic address relevant to the consumer's relations with him; (d) if the supplier is registered on any public register in connection with the carrying on of his business (or such of his business as is relevant to the contract), the name of that register, and any registration number or other means of identifying the relevant entry on the register; (e) if the carrying on of the supplier's business (or such of it as is relevant to the contract) is subject to a requirement that he be authorised by a person or body in order to carry it on, the name and geographic address of that person or body; (f) a description of the main features of the service or services to which the contract relates; (g) either -
(bb) if the total price cannot be given, the basis for the calculation of the total price, in a form enabling the consumer to verify the total price when calculated by the supplier;
(h) where the service to be provided under the contract relates to one or more financial instruments -
(bb) if the price of the instruments is subject to fluctuation depending on market conditions outside the supplier's control, notice of that fact, and (cc) notice that movements in the price of the instruments in the past are not necessarily an indicator of future performance;
(i) notice of the possibility that taxes or other costs may exist which are not imposed or paid by or through the supplier;
(bb) undertakes (with the agreement of the consumer) to communicate with the consumer during the existence of the contract;
(r) whether any mechanism other than redress through a court (including guarantee funds and compensation schemes and arrangements) is available to the consumer in relation to matters arising in connection with the contract, and if so, the procedure to be followed by the consumer in order to gain access to it;
Application of certain rules Direction by Authority 6. - (1) If the policy conditions and the procedural conditions are met, the Authority may direct that an incoming provider may no longer carry on a specified incoming electronic commerce activity, or may only carry it on subject to specified requirements. (2) A direction -
(b) has effect from -
(ii) if no date is specified, the date on which the direction is no longer open to review;
(c) must include a statement to the effect that the person to whom it applies may refer the matter to the Tribunal;
(3) The requirements referred to in paragraph (1) may include the requirement that the person to whom the direction applies must comply with one or more rules (with such modifications (if any) as may be specified) with respect to the carrying on by him of an incoming electronic commerce activity.
(b) the conditions mentioned in regulation 7(2) of the Financial Services and Markets Act 2000 (Rights of Action) Regulations 2001[12] ("the Rights of Action Regulations").
(7) For the purposes of paragraph (6)(b), the reference in regulation 7(2)(b) of the Rights of Action Regulations to a Part XIII financial resources requirement is to be taken to include a reference to a specified requirement to have or maintain financial resources.
(bb) the protection of consumers; or (cc) other reasons of public policy relevant to the regulatory objectives set out in Part I of the 2000 Act; and
(ii) that the carrying on of the incoming electronic commerce activity by the person to whom the direction is to apply prejudices, or presents a serious and grave risk of prejudice to, any of the objectives referred to in sub-paragraph (i); and
(b) the direction appears to the Authority to be a proportionate means of achieving, or addressing the prejudice or risk of prejudice to, any of those objectives.
Procedural conditions
(b) the relevant EEA regulator -
(ii) has taken such measures, but the measures appear to the Authority to be inadequate in the circumstances;
(c) the Authority has notified the Commission and the relevant EEA regulator of its intention to make the direction; and
Urgent cases
(b) if no such date is referred to, the date on which the decision was made.
(7) If the case is one to which regulation 11(b) or (c) applies, a notice under paragraph (1) or (3) must include a statement to the effect that the person to whom the direction applies may refer the matter to the Tribunal.
(b) varies a direction on its own initiative; or (c) decides to refuse an application for the variation or revocation of a direction,
the person to whom the direction applies may refer the matter to the Tribunal. Application of certain provisions of the 2000 Act 12. - (1) For the purposes of sections 205 to 209 and 384 of the 2000 Act, a requirement imposed by the Authority under these Regulations upon an authorised incoming provider is to be treated as imposed on him by or under that Act. (2) For the purposes of sections 380, 382 and 398 of, and paragraph 6 of Schedule 1 to, the 2000 Act, a requirement imposed by the Authority under these Regulations upon an incoming provider is to be treated as imposed on him by or under that Act. (3) Any reference in sections 165 to 168 and 176 of the 2000 Act to an authorised person includes a reference to an unauthorised incoming provider. (4) Any reference in sections 132 and 133 of the 2000 Act to that Act includes a reference to these Regulations. (5) The reference in section 168(4)(c) of the 2000 Act to a rule made by the Authority includes a reference to a requirement imposed by the Authority under these Regulations. Amendment of sections 417 and 418 of the 2000 Act 13. - (1) The Financial Services and Markets Act 2000[13] is amended as follows. (2) In section 417 -
(b) an establishment, in connection with an information society service, is the place at which the provider of the service (being a national of an EEA State or a company or firm as mentioned in Article 48 of the Treaty) effectively pursues an economic activity for an indefinite period; (c) the presence or use in a particular place of equipment or other technical means of providing an information society service does not, of itself, constitute that place as an establishment of the kind mentioned in paragraph (b); (d) where it cannot be determined from which of a number of establishments a given information society service is provided, that service is to be regarded as provided from the establishment where the provider has the centre of his activities relating to the service.".
(3) In section 418 -
(b) after subsection (5), insert -
(b) is carried on from an establishment in the United Kingdom.";
(c) in subsection (6), for "(5)" substitute "(5A)".
Disclosure of information 14. In any enactment that requires or permits the disclosure of information to or by the Authority, a reference (however expressed) to powers or functions conferred on the Authority by or under the 2000 Act includes, for the purposes of such disclosure, a reference to the Authority's functions under these Regulations. Notices 15. The Financial Services and Markets Act 2000 (Service of Notices) Regulations 2001[14] apply for the purposes of these Regulations as if any reference in those Regulations to "the Act" included a reference to these Regulations. Amendment of the Financial Services and Markets Act 2000 (Disclosure of Confidential Information) Regulations 2001 16. The Financial Services and Markets Act 2000 (Disclosure of Confidential Information) Regulations 2001[15] are amended by inserting, after regulation 12A -
12B. The Authority may disclose information to which this Part applies for the purpose of publishing that information in accordance with regulation 10(8) of the Electronic Commerce Directive (Financial Services and Markets) Regulations 2002."
Functions of the Authority (This note is not part of the Regulations) These Regulations give effect to the European Parliament and Council Directive of 8 June 2000 on certain legal aspects of information society services, in particular electronic commerce, in the Internal Market (Directive on electronic commerce) (No. 2000/31/EC) ("the Directive"), in respect of matters within the scope of regulation by the Financial Services Authority under the Financial Services and Markets Act 2000 (c. 8) ("the 2000 Act"). These Regulations should be read with the Financial Services and Markets Act (Regulated Activities) (Amendment) (No. 2) Order 2002 (S.I. 2002/1776) ("the RAO Amendment Order") and the Financial Services and Markets Act (Financial Promotion) (Amendment) (Electronic Commerce Directive) Order 2002 (S.I. 2002/2157), which make amendments to secondary legislation under the 2000 Act in consequence of the Directive. The Regulations should also be read with forthcoming regulations to be made by the Secretary of State for Trade and Industry, which will give effect to the Directive in other areas. Article 3 of the Directive provides, inter alia, for the regulation of information society services (defined in Article 2(a)) ("ISS") on a "country of origin" basis. Member States are required to ensure that providers of ISS established on their territories comply with national legal requirements falling within the "coordinated field", as defined in Article 2(h) of the Directive. They are also prohibited from restricting, for reasons falling within the co-ordinated field, the freedom to provide information society services from other Member States. Article 3.3 of the Directive excludes certain matters (listed in the Annex to the Directive) from the "country of origin" approach, including the advertising of their units by collective investment undertakings falling within Council Directive 85/611/EEC ("the UCITS Directive"), contractual obligations concerning consumer contracts, and the permissibility of unsolicited commercial communications by electronic mail. Article 3.4 of the Directive creates a derogation from the country of origin approach in relation to individual information society services, to be exercised on a case-by-case basis on public policy grounds, and subject to certain procedures. The RAO Amendment Order excludes from the scope of "regulated activities" under section 22 of the 2000 Act activities constituting the provision of an information society service from an establishment in a state in the European Economic Area other than the United Kingdom (termed "incoming electronic commerce activities" in these Regulations). Consequently, it is not necessary for persons to be "authorised persons" within the meaning of the 2000 Act before they can carry on such activities in the United Kingdom. Such persons will, however, need to be authorised in respect of regulated activities carried on in the United Kingdom that do not constitute the provision of an ISS. Part 2 of these Regulations gives effect to certain of the exclusions in Article 3.3 of the Directive, by modifying the functions of the Financial Services Authority ("the Authority") in relation to both authorised and unauthorised persons carrying on incoming electronic commerce activities ("incoming providers"). Regulation 3 modifies the Authority's powers under section 138 (rules for the purpose of protecting the interests of consumers) of the 2000 Act, so that rules made under them may apply to incoming providers who are not authorised under the Act ("unauthorised incoming providers"). The area of application of rules made under those sections (in respect of all incoming providers, whether authorised or not) is then restricted to certain matters listed in the Annex to the Directive - the imposition of the information requirements specified in regulation 4 ("consumer contract requirements"), communications that constitute an advertisement of its units by a collective investment undertaking authorised in accordance with the UCITS Directive, and the permissibility of unsolicited commercial communications by electronic mail. Regulation 5 restricts the application of certain rules made by the Authority in connection with incoming providers. Part 3 of the Regulations gives effect to the "case-by-case" derogation in Article 3.4 of the Directive. Regulation 6 permits the Authority, in cases where the policy and procedural conditions in Article 3.4 (set out in regulations 7 and 8) are met, to direct that particular incoming providers may no longer carry on a particular electronic commerce activity, or may only do so subject to specified requirements. Regulation 9 provides that the Authority may dispense with the need to satisfy the conditions in regulations 7 and 8 in urgent cases, and regulations 10 and 11 make procedural provisions in connection with directions, including the rights of parties to whom they apply to refer the matter to the Financial Services and Markets Tribunal. Part 4 of the Regulations applies, with modifications, certain enforcement powers in the 2000 Act in respect of requirements imposed by the Authority under these Regulations. Part 5 of the Regulations gives effect to Article 3.1 of the Directive in relation to matters falling within the 2000 Act, by amending section 418 of that Act so that the activity of providing ISS within the European Economic Area from an establishment in the United Kingdom is to be regarded as carried on in the United Kingdom, in all cases where it would not otherwise be so regarded. Part 6 of the Regulations makes miscellaneous and consequential provisions with respect to the disclosure of information, the service of notices, the functions of the Authority and certain rights of action. Notes: [1] S.I. 2001/3495.back [2] 1972 c. 68. By virtue of the amendment of s. 1(2) made by s. 1 of the European Economic Area Act 1993 (c. 51) regulations may be made under s. 2(2) to implement obligations of the United Kingdom created by or arising under the Agreement on the European Economic Area signed at Oporto on 2nd May 1992 (Cm 2073) and the Protocol adjusting the Agreement signed at Brussels on 17 March 1993 (Cm 2183).back [6] O.J. No. L178, 17.7.2000, p.1.back [7] Article 72A is inserted by the Financial Services and Markets Act 2000 (Regulated Activities) (Amendment) (Electronic Commerce Directive) Order 2002 (S.I. 2002/[ ]).back [8] S.I. 2001/544, amended by S.I. 2001/3544, S.I. 2002/682 and S.I. 2002/1310.back [9] O.J. No. L19, 24.1.89, p.16.back [10] O.J. No. L209, 24.7.92, p.25, as last amended by Directive 97/38/EEC of the Commission of the European Communities of 20 June 1997 amending Annex C to Council Directive 92/51/EEC on a second general system for the recognition of professional education and training to supplement Council Directive 89/48/EEC.back [11] O.J. No. L375, 31.12.85, p.3.back [15] S.I. 2001/2188, amended by S.I. 2001/3437 and S.I. 2001/3624.back
ISBN 0 11 042699 1
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