CA-1.1.7

Past version: Effective from 01 Oct 2009 to 30 Jun 2015
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Investment firms licensed after the initial publication of Volume 4 (Investment Business), in April 2006, must comply with the requirements of this Module at the point of being issued a license. Investment firms already licensed prior to the initial publication of Volume 4 are required to comply with the requirements of this Module from 1 January 2007 onwards. Further details on transition arrangements are given in Module ES (Executive Summary).

Amended: October 2009