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Financial Services UK

  • July 10, 2025

    Aegon Urges Bold Pension Reforms In Anticipated UK Review

    The U.K. government should launch its pensions adequacy review as part of its annual financial services strategy announcement next week, an insurer said Thursday.

  • July 10, 2025

    FCA Plans Investor Rule Overhaul To Boost Capital Markets

    The Financial Conduct Authority said Thursday that it will amend its client categorization rules in a bid to encourage wealthy and experienced investors to plow more cash into London's ailing equity capital markets.

  • July 10, 2025

    BoE Head Bailey Opposes Gov't Pension Investment Mandate

    The governor of the Bank of England has said he disagrees with the idea of requiring pension funds by law to invest in U.K. assets, in an intervention that experts say could have a knock-on effect for flagship legislation for the sector.

  • July 10, 2025

    Clifford Chance Guides Jupiter's £100M CCLA Deal

    London-listed Jupiter Fund Management PLC said Thursday that it will buy ethical investment company CCLA for £100 million ($136 million) in a bid to break into managing assets in the non-profit sector.

  • July 09, 2025

    Sweden Wins €60M Pension Fraud Case Against Financier

    A London court has ruled that a financier defrauded the Swedish government by setting up an illegitimate investment fund that took €60.7 million ($71.1 million) from savers' pension accounts.

  • July 09, 2025

    British Airways Pensions Biz Unfairly Sacked Investment Exec

    An employment tribunal has ruled that British Airways' pensions unit botched an investigation into a senior investment specialist over a confidential email he sent to himself during a workplace restructuring dispute, even though the employee was partly responsible for his ultimate dismissal.

  • July 09, 2025

    Authorities Urged To Stagger Local Gov't Pension Fixes

    The U.K. government should stagger the raft of proposed fixes to the Local Government Pension Scheme so as not to overwhelm administrators, Hymans Robertson has warned, calling for expectations to be realistic.

  • July 09, 2025

    BoE Flags Cyber Risk Blind Spots In Stress Test

    The Bank of England's regulatory arm has warned companies that financial firms are ill-prepared for a cyberattack that threatens timely settlements.

  • July 09, 2025

    Crédit Agricole Nets €183M In Exit From Loto Owner

    French insurer Crédit Agricole said Wednesday that it has sold its remaining stake in FDJ United for approximately €183.3 million ($215 million), marking its exit from the international lottery gaming operator.

  • July 09, 2025

    Mastercard Unit Fined £12M Over Compliance Failures

    The Bank of England said Wednesday that it has slapped an £11.9 million ($16.2 million) fine on Mastercard's U.K. payment systems operator Vocalink, in what the central bank called a first for a financial infrastructure company.

  • July 16, 2025

    Forsters Debuts Real Estate Funds Practice With New Hire

    Forsters LLP has recruited an investment funds partner from Shoosmiths LLP to establish a new real estate funds practice in the U.K. to tap into rising client demand.

  • July 09, 2025

    Nigerian Bank Owner Guaranty Trust Debuts In London

    Guaranty Trust Holding Company PLC, the parent of Nigerian lender GTBank PLC, said Wednesday that it has started trading on the London Stock Exchange's main market for listed securities, after raising $105 million through a share sale.

  • July 09, 2025

    LSE Needs Global Reach To Revive Floats, Industry Warns

    The London Stock Exchange needs to work at attracting secondary listings from overseas issuers to offset a thinning flow of domestic flotations, a leading British industry group said Wednesday.

  • July 08, 2025

    Ex-BofA Exec Sues For Bias Over Workplace Affair Fallout

    A former Merrill Lynch director has failed to keep his name out of tribunal proceedings against the bank in his claim alleging he was unfairly dismissed and discriminated against following a workplace relationship that ended in acrimony.

  • July 08, 2025

    EU Markets Regulator Unveils Plan To Cut Emissions By 2030

    Europe's financial markets watchdog published Tuesday its first climate transition plan as a step toward meeting the European Union's climate objectives.

  • July 08, 2025

    Underwriters Back FCA Move To Pare Back Insurance Rules

    A trade group representing underwriters in London has backed plans floated by the Financial Conduct Authority to ax unnecessary requirements from its insurance rule book, but said areas of the proposals require clarification.

  • July 08, 2025

    Insurance Consultancy BW Acquires Cybersecurity Firm

    Barnett Waddingham said Tuesday it has acquired advisory business Risk Evolves, a move the insurance consultancy expects will strengthen its offering for clients.

  • July 08, 2025

    Monzo Bank Fined £21M For Financial Crime Failings

    The Financial Conduct Authority said Tuesday that it has fined Monzo Bank £21 million ($28.6 million) for failings in financial crime controls between October 2018 and August 2020.

  • July 14, 2025

    Gide Hires Restructuring Partner From HSF Kramer In Paris

    Gide Loyrette Nouel has strengthened its restructuring team in Paris with the hire of a new partner from Herbert Smith Freehills Kramer LLP.

  • July 07, 2025

    Law Firm Gets 'Vague' £4.6M Negligence Case Struck Out

    A London court struck out on Monday an energy company's £4.6 million ($6.3 million) claim against Benson Mazure LLP, because the law firm would have unreasonable difficulty understanding and responding to the "vague and confused" case.

  • July 07, 2025

    PRA Flags Risks In Pension Deals Over Solvency Clauses

    The regulatory arm of the Bank of England has warned the insurance industry that certain clauses in the terms of bulk purchase annuity transactions could expose them to risks totaling approximately £50 billion ($68 billion).

  • July 07, 2025

    Pension Regulator Teams With Industry On Net-Zero Transition

    The Pensions Regulator said Monday it will work with workplace pension schemes and financial advisers to develop a format for occupational pension schemes to develop voluntary transition plans in line with the government's aim to reach net-zero by 2050.

  • July 07, 2025

    First Valuation Submitted Under New Pension Funding Code

    Barnett Waddingham said Monday it had filed the first pension valuation of a retirement scheme under the new defined benefit funding code introduced by The Pensions Regulator last year.

  • July 07, 2025

    US Payments Biz Gets Extension To Bid For UK Fintech

    U.K. financial services provider Alpha Group International PLC said Monday that it has extended the deadline for potential buyer Corpay Inc., to weigh making a firm offer, following "constructive discussions" with the U.S. business payments company.

  • July 07, 2025

    FCA Amends Exposed-Persons Definition In AML Guidance

    The City watchdog published amended guidance on Monday on politically exposed persons that loosen the rules for holders of prominent public positions in the U.K., in a bid to make the safeguards more proportionate.

Expert Analysis

  • 5 Takeaways From UK Justices' Arbitration Jurisdiction Ruling

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    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.

  • FCA's Broad Proposals Aim To Protect Customer Funds

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    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.

  • Takeaways From Upcoming Payment Fraud Delay Legislation

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    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.

  • Modernizing UK Trade Settlement Standard: The Road Ahead

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    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.

  • Analyzing The Implications Of 1st FCA Crypto ATM Crackdown

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    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.

  • Draft Merger Control Guidance Allows CMA To Cast Wide Net

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    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.

  • Key Points From Cayman's Beneficial Ownership Regime

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    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.

  • HMRC Transfer Pricing Guide A Vital Resource For Businesses

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    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.

  • Insights From FRC's Report On Good Corporate Governance

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    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.

  • What To Know About The UK Overseas Funds Regime

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    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.

  • Takeaways From SRA Consumer Protection Review

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    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.

  • Reflecting On 12 Months Of The EU Foreign Subsidy Regime

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    New European Commission guidance, addressing procedural questions and finally providing clarity on “distortion” in merger control and public procurement, offers an opportunity to reflect on the year since foreign subsidy notification obligations were introduced, say lawyers at Fried Frank.

  • What Updated Guide Means For Jersey's Private Funds

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    The Jersey Financial Services Commission's recent updates to the Jersey Private Fund Guide clarify existing provisions and introduce new requirements for fund managers, service providers and investors, demonstrating a clear commitment to maintaining Jersey's reputation as an attractive jurisdiction for investment, say lawyers at Walkers Global.

  • The Road Ahead For Tokenized Investment Funds In The UK

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    With an HM Treasury working group expected to release the final phase of a road map for tokenized investment funds by the end of the year, Andrew Tsang and Tom Bacon at BCLP discuss the advantages for investors and fund administrators, the proposed model for implementation, and what the regulatory landscape may look like.

  • Review Of EU Cross-Border Merger Regs' Impact On Irish Cos.

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    Looking back on the year since the European Union Mobility Directive was transposed into Irish law, enabling Irish and European Economic Area limited liability companies to participate in cross-border deals, it is clear that restructuring options available to Irish companies with EU operations have significantly expanded, say lawyers at Matheson.

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