• PB-A.2 PB-A.2 Module History

    • Evolution of Module

      • PB-A.2.1

        This Module was first issued in April 2006 by the BMA, as part of the first phase of Volume 4 (Investment Business) to be released. Any material changes that have subsequently been made to this Module are annotated with the calendar quarter date in which the change was made: Chapter UG-3 provides further details on Rulebook maintenance and version control.

        Amended: January 2007

      • PB-A.2.2

        When the CBB replaced the BMA in September 2006, the provisions of this Module remained in force. Volume 4 was updated in July 2007 to reflect the switch to the CBB; however, new calendar quarter dates were only issued where the update necessitated changes to actual requirements.

        Added: July 2007

      • PB-A.2.3

        A list of recent changes made to this Module is provided below:

        Module Ref. Change Date Description of Changes
        PB-A.1 07/2007 New Rule PB-A.1.3 introduced, categorising this Module as a Directive.
        PB-1.1.1 07/2007 Small expansion of Principle 1 to refer to disclosure of all relevant information to customers, as required by CBB Regulations and Directives.
        PB-A.1.3 01/2011 Clarified legal basis.

      • PB-A.2.4

        Guidance on the implementation and transition to Volume 4 (Investment Business) is given in Module ES (Executive Summary).

    • Superseded Requirements

      • PB-A.2.5

        This Module does not supersede any previously issued circulars or other regulatory instruments.

        Amended: January 2007

      • PB-A.2.6

        [This Paragraph was deleted in April 2008]

        Deleted: April 2008