This site makes use of Javascript, please enable your web browser to allow Javascript. Thank you.
Alumni | RSS | AA | Languages
 
Home > Practice

UK Financial Services Regulation

We advise on the application of the Financial Services and Markets Act 2000, related statutes and statutory instruments, regulatory rules and European directives (including the Markets in Financial Instruments Directive) to our clients' businesses. MORE

Authorisation

Assisting clients with their applications for authorisation under Part IV of the Financial Services and Markets Act.

Marketing

Advising on the application of the financial promotion restriction to clients' marketing material and sales activities.

General Regulatory Matters

Advising on specific FSA rules and requirements, for example, relating to regulated funds, the conduct of business and prudential rules.

Securities Law Compliance

Identifying, where applicable, possible securities law compliance issues (whether in the UK or the US), advising as to the relevant steps or measures to be taken and, where necessary, supplementing our UK and US advice with relevant advice from other territories.

UK Financial Services Regulation Lawyers

Show Related Lawyers
Kaye Scholer Practice News is now available through our RSS service. Subscribe
 
Practice Practice Groups Industry Groups Regional Groups Pro Bono Professionals Firm Careers Diversity Pro Bono Newsroom Events Offices