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Financial Services UK
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March 28, 2025
Santander Whistleblower Cannot Add FCA Info To Claim
An employment tribunal has rejected a former financial crime policy manager's bid to widen her second whistleblowing claim against Santander to include correspondence with the financial watchdog, ruling that the changes were too fundamental to the basis of her claim.
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March 28, 2025
Wealth Manager Beats €50M Investment Fraud Case
A wealth manager has defeated a €50 million ($54.1 million) investment fraud case brought by an Italian investment vehicle, after a London judge ruled Friday that the losses were the result of "market turmoil" caused by the COVID-19 pandemic.
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March 28, 2025
BoE Proposes To Adjust Capital Buffer For Certain Big Banks
The Bank of England proposed Friday to adjust the levels of asset holdings requiring large domestic banks to provide extra capital, supporting growth but risking financial stability.
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March 28, 2025
UK Pensions Watchdog Pledges To Cut Red Tape
The U.K.'s retirement savings watchdog on Friday committed to cutting the "burden" of unnecessary and outdated financial regulations that could be hampering pension savers' interests.
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March 28, 2025
FCA Tests 'Targeted Support' Model With 12 Finance Firms
The Financial Conduct Authority said Friday it has given 12 companies until April to give targeted support to consumers, an experiment ahead of a new regulatory model that will fill the gap between general guidance and advice for pensions and investments.
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March 27, 2025
Citibank Settles Ex-Exec's Maternity Discrimination Claims
Citibank has agreed to pay £215,000 ($278,000) to a former assistant vice president to settle her claims that the bank discriminated against her when she was passed up for promotion on her return from maternity leave.
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March 27, 2025
'A Challenge We Have To Rise To': Class Reps Take The Stage
Launching a series of interviews with lawyers, class representatives and litigation-funders to mark the 10-year anniversary of the collective proceedings order regime, Law360 spoke to Justin Gutmann and Rachael Kent about how the role of class reps has evolved in the decade since CPOs were introduced
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March 27, 2025
Hayes Thought Libor Submissions Were Legal, Lawyer Argues
Counsel for Tom Hayes urged Britain's top court Thursday to overturn the trader's conviction for rate rigging, arguing his client didn't believe that there was a law "which absolutely prohibits" the consideration of trading advantage when making submissions.
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March 27, 2025
6 Insurers Penned £5B-Plus In Pension Deals In 'Record' 2024
Six insurers wrote over £5 billion ($6.5 billion) each in pension deals for the first time in 2024, Lane Clark & Peacock LLP said Thursday, highlighting a risk transfer market "firing on all cylinders" with new entrants increasing competition.
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March 27, 2025
Russian Pol's Wife Says Sanctions Breach Allegation 'Fantasy'
The wife of a former Russian politician said Thursday during her London trial for allegedly breaching sanctions against her husband that she did not know at the time that the U.K. and EU had separate sanctions regimes.
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March 27, 2025
Former Barclays Exec Fights For £3.5M Deferred Bonus
A former head of credit trading at Barclays has argued that he is owed a £3.5 million ($4.5 million) bonus package after he left the bank and joined a hedge fund following his son's diagnosis with a rare disease.
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March 27, 2025
RPC-Led Stock Market Tracker To Delist From AIM
Stock price provider ADVFN PLC said Thursday that it intends to exit the London Stock Exchange's junior market and go private amid concerns about "significant headwinds" for the broader stock market.
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March 27, 2025
InvestAcc Group To Buy AJ Bell Pension Unit For £25M
Investment platform company AJ Bell said Thursday it will sell its pensions administration arm to InvestAcc Group Ltd. for £25 million ($32.5 million), amid a business restructure.
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March 27, 2025
UK Aims To Boost Competitiveness With Derivative Rule Cuts
Britain's two largest finance watchdogs Thursday proposed extending exemptions to margin requirements to cover unfavorable price movements for traders of some derivatives contracts, looking to keep the U.K. globally competitive.
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March 27, 2025
Warehouse REIT Leans Toward Blackstone's £489M Offer
Warehouse Real Estate Investment Trust PLC, a logistics property company, said Thursday that it is inclined to accept the provisional takeover offer of approximately £489 million ($633 million) made this week by private equity giant Blackstone Inc.
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March 27, 2025
5 Questions For Norton Rose's Global Head Of Corporate
Raj Karia, Norton Rose Fulbright's new global head of corporate, M&A and securities, has spent his entire legal career at the firm after a childhood watching boats on Africa's Lake Victoria propelled him to a training contract with a shipping focus.
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March 26, 2025
UK Accounting Firms Warned On Capital Restructuring
The Financial Reporting Council has instructed audit firms that are considering a capital restructuring to engage with the watchdog "at an early stage" and with "full candor."
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March 26, 2025
Russian Pol's Wife Denies Knowingly Breaching UK Sanctions
The wife of a former Russian official appointed by President Vladimir Putin said in a London criminal court Wednesday that she "would never have risked" helping her husband evade U.K. sanctions.
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March 26, 2025
SFO Defends Traders' Rate-Rigging Convictions, Citing Rules
The Serious Fraud Office urged Britain's top court Wednesday to uphold the convictions of two traders for rate-rigging, arguing that benchmark interest rules forbade them from taking into account "personal profit" when making submissions.
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March 26, 2025
WeRealize Denies JPMorgan's Breach Claim In JV Dispute
Fintech business WeRealize has hit back at a JPMorgan Chase & Co. unit's latest claim in a protracted battle, denying allegations that it was planning to breach the terms of a joint venture shareholder agreement.
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March 26, 2025
Gov't Expands UK Fraud Strategy With Focus on Scammers
Fraud Minister David Hanson announced at a summit on Wednesday that work has started on an expanded fraud strategy, with a focus on combating scams enabled by artificial intelligence, according to the Home Office.
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March 26, 2025
Major Banks Lose Challenge To EU Bond Cartel Ruling
A group of banks lost their challenge on Wednesday to a finding by a European Union antitrust watchdog that they took part in a bond price-fixing cartel, a breach of competition law in which UBS, Nomura and UniCredit were fined €371 million ($400 million).
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March 26, 2025
Most DC Savers In Plans With 'Productive Asset' Investment
Almost nine in 10 defined contribution pension savers are in schemes that invest in at least one "productive asset" class, such as infrastructure, Britain's retirement watchdog has said.
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March 25, 2025
Ex-Wife Of UK Activist Barred Over £319K Tax Debt
A U.K. political figure's former wife who owes about £319,000 ($413,000) in taxes has been disqualified from serving as a director of any business for the next seven years because of her failure to keep detailed financial records of her company, the U.K. Insolvency Service announced.
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March 25, 2025
Santander Defeats Claim Over £415K Paid To Scammers
Santander UK PLC defeated a fraud victim's claim over the bank allowing more than £415,000 ($538,000) to be transferred away to scammers, after a London court ruled Tuesday that the allegation had no realistic prospect of succeeding.
Expert Analysis
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How Energy Scheme Is Affecting Large Co. Fund Investment
The latest phase of the Department of Energy and Climate Change's Energy Savings Opportunity Scheme implicates funds with investments in large companies by establishing significant and complex changes to the reporting cycle for mandatory assessments, say lawyers at Macfarlanes.
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How Companies House Enforcement Powers Are Growing
Companies House's recently increased ability to assess what material is submitted to the U.K. register of companies, and to proportionately enforce where violations have occurred, may require some degree of cultural shift within many companies, say lawyers at Greenberg Traurig.
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How New Sanctions Office Will Affect UK Trade Landscape
The recent launch of the Office of Trade Sanctions Implementation will help to create a more comprehensive civil enforcement terrain, but the potential for multiple investigations means businesses should reassess their systems to ensure they do not inadvertently incur civil liability, says Julia Pearce at Robertson Pugh.
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FCA Savings Update Focuses On Good Customer Outcomes
The Financial Conduct Authority’s recent cash savings update emphasizes its expectations of firms to deliver fair value to consumers by documenting the rationale for actions at each stage, considering customer communications and demonstrating that potential harms are acted upon, say Matt Handfield, Charlotte Rendle and Caroline Hunter-Yeats at Simmons & Simmons.
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5 Takeaways From UK Justices' Arbitration Jurisdiction Ruling
The U.K. Supreme Court's recent judgment in UniCredit Bank v. RusChemAlliance, upholding an injunction against a lawsuit that attempted to shift arbitration away from a contractually designated venue, provides helpful guidance on when such injunctions may be available, say attorneys at Fladgate.
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FCA's Broad Proposals Aim To Protect Customer Funds
The Financial Conduct Authority’s proposed changes to payments firms’ safeguarding requirements, with enhanced recordkeeping and fund segregation, seek to bolster existing regulatory provisions, but by introducing a statutory trust concept to cover customers’ assets, represent a set of onerous rules, says Matt Hancock at Greenberg Traurig.
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Takeaways From Upcoming Payment Fraud Delay Legislation
Lawyers at Hogan Lovells discuss what to know about new legislation that will allow payment service providers to delay payments when third-party fraud is suspected, and share pointers for providers to consider ahead of the Oct. 30 effective date.
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Modernizing UK Trade Settlement Standard: The Road Ahead
Andrew Tsang and Tom Bacon at BCLP consider the rationale and challenges of a potential U.K. trade settlement acceleration, part of an initiative to modernize the financial market infrastructure, and suggest that incorporating distributed ledger technology as a synchronized recording system would facilitate the move.
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Analyzing The Implications Of 1st FCA Crypto ATM Crackdown
The Financial Conduct Authority’s recent criminal prosecution of Olumide Osunkoya, its first enforcement action against a crypto-asset trading firm's owner, is an unambiguous sign of the regulator’s commitment to actively pursue transgressors, but may be a hindrance to the U.K. crypto industry, says Asim Arshad at Lawrence Stephens.
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Draft Merger Control Guidance Allows CMA To Cast Wide Net
The Competition and Markets Authority's recent draft merger control guidance, reflecting the regulator's strengthened powers under the Digital Markets, Competition and Consumer Act, introduces extensive change and potential procedural improvements, specifically concerning reviews of private equity firms, say lawyers at Travers Smith.
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Key Points From Cayman's Beneficial Ownership Regime
While recent expansion of the Cayman Islands Beneficial Ownership Act's scope means it now encompasses many entities with previously minimal obligations, the changes ensure a welcome level playing field with workable alternative routes to compliance, says Lucy Frew at Walkers Global.
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HMRC Transfer Pricing Guide A Vital Resource For Businesses
HM Revenue & Customs' recent guidelines on common transfer pricing compliance risks should be required reading for affected businesses in indicating HMRC's expected benchmark for documents and policies, say Tomoko Ikawa and Kapisha Vyas at Simmons & Simmons.
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Insights From FRC's Report On Good Corporate Governance
Although the Financial Reporting Council’s recent report on private companies opting to follow the Wates principles has identified improvements, it is important for organizations to provide transparent disclosures and avoid boilerplate, tickbox filings, says Tessa Hastie at BCLP.
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What To Know About The UK Overseas Funds Regime
The U.K.’s overseas funds regime is now open for applications, providing a simplified way of offering a foreign fund to U.K. retail investors, and the Financial Conduct Authority's clear policy statement on implementation should ease the transition process from the existing scheme, say lawyers at Dechert.
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Takeaways From SRA Consumer Protection Review
While the Solicitors Regulation Authority prepares to announce its findings later this year following its consumer protection consultation, the topic of handling client funds is very much alive in the legal industry, with polarizing views on what should happen as a result of the review, says Claire Van Der Zant at Shieldpay.