The Financial Services and Markets Act 2000 (Misleading Statements and Practices) (Amendment) Order 2003 © Crown Copyright 2003 Statutory Instruments printed from this website are printed under the superintendence and authority of the Controller of HMSO being the Queen's Printer of Acts of Parliament. The legislation contained on this web site is subject to Crown Copyright protection. It may be reproduced free of charge provided that it is reproduced accurately and that the source and copyright status of the material is made evident to users. It should be noted that the right to reproduce the text of Statutory Instruments does not extend to the Queen's Printer imprints which should be removed from any copies of the Statutory Instrument which are issued or made available to the public. This includes reproduction of the Statutory Instrument on the Internet and on intranet sites. The Royal Arms may be reproduced only where they are an integral part of the original document. The text of this Internet version of the Statutory Instrument which is published by the Queen's Printer of Acts of Parliament has been prepared to reflect the text as it was Made. A print version is also available and is published by The Stationery Office Limited as the The Financial Services and Markets Act 2000 (Misleading Statements and Practices) (Amendment) Order 2003, ISBN 0110471369. The print version may be purchased by clicking here. Braille copies of this Statutory Instrument can also be purchased at the same price as the print edition by contacting TSO Customer Services on 0870 600 5522 or e-mail: customer.services@tso.co.uk. Further information about the publication of legislation on this website can be found by referring to the Frequently Asked Questions. To ensure fast access over slow connections, large documents have been segmented into "chunks". Where you see a "continue" button at the bottom of the page of text, this indicates that there is another chunk of text available.
The Treasury, in exercise of the powers conferred on them by section 397(9) and (14) of the Financial Services and Markets Act 2000[1], hereby make the following Order: Citation and commencement 1. This Order may be cited as the Financial Services and Markets Act 2000 (Misleading Statements and Practices) (Amendment) Order 2003, and comes into force on 31st October 2004. Amendment of the Financial Services and Markets Act 2000 (Misleading Statements and Practices) Order 2001 2. - (1) The Financial Services and Markets Act 2000 (Misleading Statements and Practices) Order 2001[2] is amended as follows. (2) In article 2 (interpretation), in the definition of "controlled activity", for "paragraph 9 or 10" (in both places) substitute "paragraph 9, 10, 10A or 10B". (3) In article 3 (specified kinds of activity), after paragraph (c) insert -
(This note is not part of the Order) This Order amends the Financial Services and Markets Act 2000 (Misleading Statements and Practices) Order 2001 ("the principal Order"). That Order specifies certain kinds of activity and investment for the purposes of section 397 of the Financial Services and Markets Act 2000 ("the Act"). Article 2 amends articles 2 and 3 of the principal Order, with the effect that arranging qualifying credit and advising on qualifying credit are specified as activities for the purposes of section 397(9)(a) of the Act. Notes: [1] 2000 c. 8.back [2] S.I. 2001/3645; amended by S.I. 2002/1777.back
ISBN 0 11 047136 9
|
|
| ||
| We welcome your comments on this site | © Crown copyright 2003 | Prepared 5 August 2003 |