Financial Services UK

  • June 26, 2025

    Qatar National Bank Beats £89M Claim Over Share Deal

    A Qatari bank Thursday beat a Kuwaiti businessman's £89.4 million ($122.8 million) English claim over alleged breaches of a complex financing agreement, after a judge noted his reliance on "hallucinatory" references to cases that didn't exist through the inappropriate use of AI.

  • June 26, 2025

    BoE Launches Forum For Financial Firms And Policy Body

    The Bank of England said Thursday it has set up a forum for senior individuals in large financial services firms to liaise with the central bank's Monetary Policy Committee, which sets interest rates.

  • June 26, 2025

    EU Strikes 'Milestone' Deal To Reform Bank Failure Rules

    The European Union has agreed to radically reform the rule book for managing failures of small and midsized banks in the bloc by improving lenders' access to industry-funded safety nets.

  • June 26, 2025

    Audit Watchdog Sets New Guidance For 'Black Box' AI

    Britain's accounting watchdog warned Thursday in new guidance on using artificial intelligence in audits that the opacity of AI models makes it crucial for firms to document how they are controlled.

  • June 26, 2025

    Gov't Mulls Mandating Climate Plans From Banks, Insurers

    Large banks and insurance companies in Britain could be forced to develop and publish a strategy for how they plan to align their business with global climate targets under proposals floated by the U.K. government.

  • June 26, 2025

    PIC Inks £900M Pension Deals For Energy Tech Biz

    Pension Insurance Corp. PLC said Thursday that it has completed buy-ins with three plans sponsored by Baker Hughes Co., a global energy technology business, covering liabilities worth £900 million ($1.2 billion).

  • June 26, 2025

    Staley Fails To Overturn FCA Ban Over Epstein Ties

    Former Barclays boss James "Jes" Staley lost his bid to overturn the Financial Conduct Authority's ban for allegedly lying about his ties to Jeffrey Epstein on Thursday as a London tribunal found he intentionally misled the watchdog's inquiry into their relationship.

  • June 25, 2025

    Class Certified In Suit Over Oil Market's Historic Price Crash

    A Chicago federal judge has certified a class of futures traders who claim Vega Capital London Ltd. and 12 of its traders caused a historic oil crash with an aggressive price manipulation scheme that resulted in oil futures going negative for the first time, saying the plaintiffs have met all the requirements for certification.

  • June 25, 2025

    Sanctioned Co. Director Convicted Of Failing To Give Info

    A sanctioned company director was convicted in a criminal court in London on Wednesday of failing to adequately respond to a request for information by the U.K.'s sanctions agency.

  • June 25, 2025

    EU Watchdog Pushes To Expand Digital Asset Program

    The European Union's market watchdog advised lawmakers Wednesday to make a pilot scheme for tokenizing securities on digital ledger technology more flexible for investors and permanent.

  • June 25, 2025

    EU Insurers Push For Simplified Cybersecurity Regulation

    A trade body for European insurers urged the European Commission on Tuesday to streamline the bloc's potentially counter-productive rule book on cybersecurity and digital resilience to help reduce duplication as the compliance burdens on the sector increase.

  • June 25, 2025

    EFG Unit To Buy 75% Stake In NZ Investment Firm For $41M

    Global private banking group EFG International AG said Wednesday that its Australian subsidiary Shaw and Partners Financial Services has agreed to acquire 75% of New Zealand-based investment firm Investment Services Group for 67.5 million New Zealand dollars ($40.6 million).

  • June 25, 2025

    FCA Floats Mortgage Rule Changes To Aid Homebuyers

    The Financial Conduct Authority suggested changes to its mortgage rules on Wednesday to make it easier to lend to first-time homebuyers and others, in a drive to boost property ownership.

  • June 25, 2025

    Adviser Wren Sterling Expands In Scotland With Acquisition

    Financial and pensions advisory business Wren Sterling said Wednesday that it has acquired City Financial (Aberdeen) Ltd., expanding its presence in Scotland.

  • June 25, 2025

    Sweden Fines Diagnostics Co. $1.25M For Market Abuse

    Sweden's financial watchdog has fined a medical diagnostics company 12 million Swedish kronor ($1.25 million) for breaching European Union regulations on market abuse following an investigation into its handling of insider information, the company revealed on Wednesday.

  • June 25, 2025

    ECB Clears Monte Dei Paschi's €13.3B Mediobanca Deal

    Italian lender Monte dei Paschi said Wednesday that the European Central Bank has waved through its €13.3 billion ($15.4 billion) proposed takeover of rival Mediobanca SpA, ramping up consolidation in the country's banking sector.

  • June 24, 2025

    Irwin Mitchell Can't Ax Pension Fraud Negligence Claim

    A London court on Tuesday denied Irwin Mitchell's bid to scrap a professional negligence suit against a firm it merged with in 2015, but ruled Irwin Mitchell itself is not liable for the advice given to a pensioner in the wake of alleged fraud.

  • June 24, 2025

    Solicitor Denies Inducing Trust To Invest £5.8M In His Firm

    A solicitor has denied fraudulently inducing a family trust into investing £5.75 million ($7.84 million) into a company he part owned that became insolvent, arguing the trust made its own assessment to become involved in the "low risk" project.

  • June 24, 2025

    VietJet Air Loses Bid To Ax $181M Plane Lease Dispute Ruling

    A Vietnamese budget airline lost its fight to overturn a decision that it is liable to pay an investment company $181 million for failing to make aircraft leasing payments when a London court ruled Tuesday that the notices served to terminate the leasing deals were valid.

  • June 24, 2025

    Fintech Accuses JP Morgan Of Waging 'Proxy War' In Greece

    Fintech company WeRealize accused J.P. Morgan on Tuesday of waging a legal "proxy war" against its directors in Greece to prevent it from purchasing the investment bank's stake in a payments startup joint venture.

  • June 24, 2025

    Broker's Costs Cut By £3M Over 'Vague' Trade Secrets Case

    A London court has slashed an investment broker's recoverable costs by half to £3.3 million ($4.5 million) despite previously upholding its claim that a hedge fund and consultant took its trade secrets, ruling that the firm increased costs "at every turn."

  • June 24, 2025

    Groups Urge EU To Trim Sustainable Finance Reporting Rules

    Top global financial services industry trade bodies have urged European lawmakers in its review of the Sustainable Finance Disclosure Regulation to cut duplication with other sustainability reporting rules and reflect derivatives more clearly.

  • June 24, 2025

    Treasury Official Tapped As Interim Pensions Regulator Chair

    The government has revealed Civil Service veteran Kirstin Baker as the next interim chair of Britain's retirement savings watchdog.

  • June 24, 2025

    Danish Pensions Fintech Biz Expands Into UK Market

    Festina Finance, a Danish financial technology company, said it has begun fully operating its retirement savings platform for administrators of British pension plans.

  • June 23, 2025

    Trafigura Beats Dubai Bank Unit's 'Cynical' $21M Fraud Case

    Trafigura on Monday defeated a claim by a subsidiary of Dubai's Rasmala Investment Bank alleging that the commodities trader tricked it into providing $21 million to pay off another company's debts, with a London court ruling the trader was not part of the deception.

Expert Analysis

  • The Outlook For UK Restructuring Plans At Home And Abroad

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    The U.K. continues to be a center for large-cap, cross-border restructurings, though its competitive edge over the EU in this regard may narrow, while small and medium-sized enterprises are already likely to avoid costly formal processes by reaching out to their secured lenders for restructuring solutions, say Paul Keddie and Timothy Bromley-White at Macfarlanes.

  • Foreign Assets Ruling Suggests New Tax Avoidance Approach

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    The U.K. Supreme Court's recent ruling in His Majesty's Revenue & Customs v. Fisher, which found that the scope of the transfer of foreign assets is narrow, highlights that the days of rampant tax avoidance have been left behind, and that the need for wide-ranging and uncertain tax legislation is lessening, says James Austen at Collyer Bristow.

  • Lessons To Be Learned From 2023's Bank Failures

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    This year’s banking collapses, coupled with interest rate rises, inflation and geopolitical instability have highlighted the need for more robust governance, and banks and regulators have learned that they must adequately monitor and control liquidity risk to protect against another financial crisis, say Juliette Mills and Alix Prentice at Cadwalader.

  • An Overview Of European Private Investments in Public Equity

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    Although still fairly rare, private investments in public equity may continue to be an attractive option for some European issuers seeking to secure equity financing, and advisers planning such an investment should consider the various local options, requirements and norms, say lawyers at Sullivan & Cromwell.

  • Cos. Must Monitor Sanctions Regime As Law Remains Unclear

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    While recent U.K. government guidance and an English High Court's decision in Litasco v. Der Mond Oil, finding that a company is sanctioned when a designated individual is exercising control over it, both address sanctions control issues, disarray in the law remains, highlighting that practitioners should keep reviewing their exposure to the sanctions regime, say lawyers at K&L Gates.

  • Unpacking The UK's Proposals To Regulate Crypto-Assets

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    Recent proposals for crypto-asset regulation in the U.K. demonstrate support for crypto's potential, but there is concern around the authorization process for organizations undertaking crypto-asset activities, and new regulations will require a more detailed assessment of firms' compliance not previously addressed, say Jessica Lee and Menelaos Karampetsos at Brown Rudnick.

  • The Top 7 Global ESG Litigation Trends In 2023

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    To date, ESG litigation across the world can largely be divided into seven forms, but these patterns will continue developing, including a rise in cases against private and state actors, a more complex regulatory environment affecting multinational companies, and an increase in nongovernmental organization activity, say Sophie Lamb and Aleksandra Dulska at Latham.

  • UK Takeover Code Changes: Key Points For Bidders, Targets

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    Newly effective amendments to Rule 21 of the U.K. Takeover Code, which remove legal and administrative constraints on a target operating its business in the ordinary way during an offer, will add clarity for targets and bidders, and are likely to be welcomed by both, say lawyers at Davis Polk.

  • Russia Ruling Shows UK's Robust Jurisdiction Approach

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    An English High Court's recent decision to grant an anti-suit injunction in the Russia-related dispute Renaissance Securities v. Chlodwig Enterprises clearly illustrates that obtaining an injunction will likely be more straightforward when the seat is in England compared to when it is abroad, say lawyers at Linklaters.

  • How New Loan Origination Regime Will Affect Fund Managers

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    Although the recent publication of the Alternative Investment Fund Managers Directive II represents more of an evolution than a revolution, the leverage limitations applicable to loan-originating funds are likely to present practical challenges for European credit fund managers, say attorneys at Fried Frank.

  • How EU Sustainability Directive Will Improve Co. Reporting

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    The need for organizations to make nonfinancial disclosures under the recently adopted EU Sustainability Reporting Standards will significantly change workforce and human rights reporting, and with the objective of fostering transparency, should bring about an increased focus on risks, policies and action plans, say Philip Spyropoulos and Thomas Player at Eversheds Sutherland.

  • PPI Ruling Spells Trouble For Financial Services Firms

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    The Supreme Court's recent decision in Canada Square v. Potter, which found that the claimant's missold payment protection insurance claim was not time-barred, is bad news for affected financial services firms, as there is now certainty over the law on the postponement of limitation periods, rendering hidden commission claims viable, say Ian Skinner and Chris Webber at Squire Patton.

  • What Lawyers Can Learn From FDI Screening Report Findings

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    The recent European Commission report on the screening of foreign direct investments into the EU reveals how member states need to balance national security concerns with openness, and with more cross-border transactions subject to screening, lawyers must be alert to jurisdictional variances, says Jonathon Gunn at Faegre Drinker.

  • UK Review May Lead To Lower Investment Screening Burden

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    The government’s current review of national security investment screening rules aims to refine the scope of mandatory notifications required for unproblematic deals, and is likely to result in much-needed modifications to minimize the administrative burden on businesses and investors, say lawyers at Simpson Thacher.

  • Economic Crime Act Exposure: What Companies Can Expect

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    The intention of the Economic Crime and Corporate Transparency Act is to make it easier to attribute criminal liability to companies if a senior manager has committed an offense, but the impact on corporate criminal convictions depends on who qualifies as a senior manager and the evidential challenges in showing it, say Hayley Ichilcik and Julius Handler at MoFo.

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