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Financial Services UK

  • July 02, 2025

    'Decisive' Reform Needed To Fix Pension Issues, IFS Says

    The government should widen the age range for employees being automatically included in a work-based pension, one of a raft of proposals that would address a series of risks to the future of Britain's pensioners, the Institute for Fiscal Studies said Wednesday.

  • July 02, 2025

    FCA Extends Bullying, Harassment Misconduct Across Sector

    The Financial Conduct Authority released new rules on Wednesday that extend its regulatory powers to cover "toxic" workplace behavior such as bullying and harassment to non-banking firms.

  • July 02, 2025

    Schroder BSC Social Impact Trust Considers Wind-Down

    Schroder BSC Social Impact Trust PLC said Wednesday that it may wind down its business soon as the ethical investment arm of Schroders PLC battles with attracting new investors and growing its assets, citing "challenging market conditions over recent years."

  • July 02, 2025

    Private Stock Market Plan Could Disrupt London IPO Goals

    A world-first regulated market for private company shares might harm the U.K.'s objective of stimulating the market for initial public offerings in London if it offers corporate founders a new alternative to the scrutiny of flotations.

  • July 02, 2025

    Regulator Calls For Open Banking-Style Reforms In Pensions

    The U.K. retirement watchdog has called for a shakeup in data-sharing by pension providers similar to that practiced in the banking sector.

  • July 02, 2025

    Euronext Considers €399M Athens Stock Exchange Deal

    Euronext is in negotiations to acquire the Athens Stock Exchange SA in an all-share transaction worth €399 million ($470 million) as it aims to add another European bourse to its portfolio

  • July 01, 2025

    Deutsche Faces Investor Bid To Renew UK Bond-Rigging Case

    An Oklahoma pension fund moved Monday to revive its New York federal court case over alleged price-fixing of U.K. government bonds, citing newly obtained chat transcripts and other material that it says bolster its claims against Deutsche Bank.

  • July 01, 2025

    Spain's Santander To Buy TSB From Sabadell For $3.6B

    Spain's Banco Santander said Tuesday it has agreed to buy British bank TSB from Banco de Sabadell in a £2.65 billion ($3.64 billion) all-cash deal, a move that would expand Santander's footprint in the U.K. retail banking market as Sabadell faces a hostile takeover attempt.

  • July 01, 2025

    Creditors Accuse Shipping Biz Of Trying To Evade $309M Debt

    The Norwegian government and three finance companies have sued two Guernsey-based companies and a shipping businessman in a London court, accusing them of fraudulently transferring real estate assets to evade liability for loan defaults.

  • July 01, 2025

    Bank Of Ireland Denies £60M Property Loan Fraud Claim

    Bank of Ireland has denied a £60 million ($83 million) claim that it deceived a real estate investment business into borrowing millions of pounds by giving inflated property evaluations and said the borrower would have taken out the loan anyway because it was such a generous financial package.

  • July 01, 2025

    HMRC Can Collect Tax In Disputed Avoidance Schemes

    A London court ruled that HM Revenue & Customs can collect disputed income tax owed by a group of companies that took part in tax avoidance schemes, even though the authority previously promised to postpone the requests until the disputes were settled.

  • July 01, 2025

    FCA Can Drop £6M Fine In Cum-Ex Case After Danish Pleas

    The Financial Conduct Authority can reverse its decision to fine a cum-ex trader £5.9 million ($8.1 million) to avoid prejudicing Denmark's attempts to claw back the proceeds from an alleged sham trading scheme, a London tribunal has ruled.

  • July 01, 2025

    Traders Banned And Fined For 'Spoofing' Market Manipulation

    A London tribunal has approved fines and bans for three traders totaling £381,000 ($523,000) for market abuse after upholding claims from the Financial Conduct Authority that they dishonestly placed bogus bond orders to manipulate the market.

  • July 01, 2025

    Swedbank To Buy Digital Mortgage Biz Stabelo For $37M

    Swedish multinational banking group Swedbank AB said Tuesday that it has agreed to acquire mortgage lender Stabelo to reach more prospective homeowners for an initial price of 350 million Swedish krona ($37 million) from Avanza Bank AB and other owners.

  • July 01, 2025

    Gov't Structural Reform Urged To Boost Participation In LSE

    The government must unify the fragmented departments involved in oversight of retail participation in public markets in order to encourage Britons to invest in companies listed on the London Stock Exchange, City experts said Tuesday.

  • July 01, 2025

    Barclays Car Finance Appeal Must Wait For Top Court Ruling

    Barclays' bid to overturn a ruling by the Financial Ombudsman on motor finance commissions was delayed on Tuesday, as the Court of Appeal adjourned the case to await a high-stakes judgment from the U.K. Supreme Court.

  • July 01, 2025

    British-Russian Man Charged With Paying Bitcoin To Militia

    A British-Russian national alleged to have funded pro-Russian militia groups in occupied eastern Ukraine through bitcoin payments made his first appearance at a London court on Tuesday accused of breaching the U.K. sanctions regime.

  • July 01, 2025

    SIX Finalizes Aquis Deal, Boosts European Market Reach

    SIX Exchange Group AG said on Tuesday it has successfully closed its acquisition of London's challenger stock exchange Aquis, which the Swiss bourse group believes will boost its position in European trading.

  • July 01, 2025

    BNP Paribas Seals €5.1B Axa Investment Management Buy

    BNP Paribas Cardif said on Tuesday that it has finalized its purchase of the investment management business of French insurer Axa for an estimated €5.1 billion ($6 billion).

  • June 30, 2025

    UK Supreme Court Denies Russia Immunity In $63B Yukos Case

    Russia has been denied permission to challenge an appellate court ruling in Britain dismissing its attempt to use state immunity to block former investors in Yukos Oil Co. from enforcing more than $63 billion in arbitral awards they won nearly 11 years ago, the investors said Monday.

  • June 30, 2025

    HMRC Investigated Avoidance Scheme Enough, Court Rules

    HM Revenue & Customs didn't need to investigate further before determining that nearly 50 consultants owed taxes on income routed through offshore entities on the Isle of Man, the High Court of Justice said in declining to review the British tax authority's decision.

  • June 30, 2025

    Software Startup Says Ideagen Trademark Use Not Deceptive

    A software startup founded by the former directors of a company acquired by Ideagen has hit back at claims it lured customers away through deception, telling a court that it has every right to compete with Ideagen.

  • June 30, 2025

    UBS Launches $2B Buyback To Trim Share Capital

    UBS Group AG revealed on Monday the imminent launch of a $2 billion share repurchase program, a move expected to lower the Swiss banking giant's outstanding share capital.

  • June 30, 2025

    EU Watchdog Pushes For Stronger Greenwashing Controls

    The European Union's markets watchdog warned national regulators Monday to supervise better how investment managers disclose sustainability-related factors of funds.

  • June 30, 2025

    Finance Gender Gap Progress Too Slow, Gov't Report Warns

    A body set up by HM Treasury to increase the representation of women at senior levels in finance warned Monday that improving gender parity in the sector remains too slow and urged companies to "accelerate" their efforts.

Expert Analysis

  • BT Case May Shape UK Class Action Landscape

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    The first opt-out collective action trial commenced in Le Patourel v. BT in the U.K. Competition Appeal Tribunal last month, regarding BT's abuse of dominance by overcharging millions of customers, will likely provide clarification on damages and funder returns in collective actions, which could significantly affect the class action regime, say lawyers at RPC.

  • Key Points From EC Economic Security Screening Initiatives

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    Lawyers at Herbert Smith analyze the European Commission's five recently announced initiatives aimed at de-risking the EU's trade and investment links with third countries, including the implementation of mandatory screening mechanisms and extending coverage to investments made by EU companies that are controlled subsidiaries of non-EU investors.

  • Following The Road Map Toward Quantum Security

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    With the Financial Conduct Authority’s recent publication of a white paper on a quantum-secure financial sector, firms should begin to consider the quantum transition early — before the process is driven by regulatory obligations — with the goal of developing a cybersecurity architecture that is agile while also allowing for quantum security, say lawyers at Cleary.

  • Why EU Ruling On Beneficial Ownership May Affect The UK

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    Following the EU judgment in Sovim v. Luxembourg that public access to beneficial ownership information conflicts with data protection rights, several British overseas territories and dependencies have recently reversed their commitment to introduce unrestricted access, and challenges to the U.K.’s liberal stance may be on the cards, says Rupert Cullen at Allectus Law.

  • Key Changes In FRC Code Aim To Promote Good Governance

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    The focus of the recently published Financial Reporting Council Corporate Governance Code on risk management and internal controls is to ensure the competitiveness of the U.K. listing regime while not compromising on governance standards, and issuers may wish to consider updating their policies in order to follow best practice, say lawyers at Debevoise.

  • Ruling In FCA Case Offers Tips On Flexible Work Requests

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    In Wilson v. Financial Conduct Authority, the Employment Tribunal recently found that the regulator's rejection of a remote work request was justified, highlighting for employers factors that affect flexible work request outcomes, while emphasizing that individual inquiries should be considered on the specific facts, say Frances Rollin, Ella Tunnell and Kerry Garcia at Stevens & Bolton.

  • Breaking Down The New UK Pension Funding Regs

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    Recently published U.K. pension regulations, proposing major changes to funding and investing in defined benefit pension schemes, raise implementation considerations for trustees, including the importance of the employer covenant, say Charles Magoffin and Elizabeth Bullock at Freshfields.

  • Predicting DeFi Regulations At Home And Abroad In 2024

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    Though decentralized finance has advocates on both sides of the Atlantic in figures like U.S. SEC Commissioner Hester Peirce and U.K. Prime Minister Rishi Sunak, DeFi in 2024 seems likely to be folded into existing regulatory frameworks in the U.K. and EU, while anti-crypto scrutiny may discourage DeFi’s growth in the U.S., say Daniel Csefalvay and Eric Martin at BCLP.

  • Consultation Docs Can Help EU Firms Prep For Crypto Regs

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    Firms providing crypto services should note two recent papers from the European Securities and Markets Authority defining proposals on reverse solicitation and financial instrument classification that will be critical to clarifying the scope of the regulatory framework under the impending Markets in Crypto-Assets Regulation, say lawyers at Hogan Lovells.

  • A Closer Look At Novel Jury Instruction In Forex Rigging Case

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    After the recent commodities fraud conviction of a U.K.-based hedge fund executive in U.S. v. Phillips, post-trial briefing has focused on whether the New York federal court’s jury instruction incorrectly defined the requisite level of intent, which should inform defense counsel in future open market manipulation cases, say attorneys at Lankler Siffert.

  • Investors' Call For Voting Changes Faces Practical Challenges

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    A recent investor coalition call on fund managers to offer pass-through voting on pooled funds highlights a renewed concern for clients’ interests, but legal, regulatory and technological issues need to be overcome to ensure that risks related to the product are effectively mitigated, says Angeli Arora at Allectus.

  • Litigation Funding Implications Amid Post-PACCAR Disputes

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    An English tribunal's recent decision in Neill v. Sony, allowing an appeal on the enforceability of a litigation funding agreement, highlights how the legislative developments on funding limits following the U.K. Supreme Court's 2023 decision in Paccar v. Competition Appeal Tribunal may affect practitioners, say Andrew Leitch and Anoma Rekhi at BCLP.

  • What Extension Of French FDI Control Means For Investors

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    The recently published French order on foreign investment control expands the regime's application to more sectors and at a lower threshold of share ownership, illustrating France's determination to maintain sovereignty over its supply chains in sensitive sectors, and adding new considerations for potential investors in these areas, say lawyers at Linklaters.

  • What To Expect For Private Capital Investment Funds In 2024

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    As 2024 gets underway, market sentiment in the private fundraising sphere seems more optimistic, with a greater focus on deal sourcing and operational optimizations, and an increased emphasis on impact and sustainability strategies, say lawyers at Ropes & Gray.

  • Cayman Islands Off AML Risk Lists, Signaling Robust Controls

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    As a world-leading jurisdiction for securitization special purpose entities, the removal of the Cayman Islands from increased anti-money laundering monitoring lists is a significant milestone that will benefit new and existing financial services customers conducting business in the territory, say lawyers at Walkers Global.

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