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Financial Services UK
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February 24, 2026
BoE Sets Out Rules On Longer CHAPS Settlement Times
The Bank of England said Tuesday it will extend the operating hours of its CHAPS system of high-value interbank payments, as part of its long-term plan to modernize the U.K.'s core payment infrastructure.
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February 24, 2026
StanChart To Launch $1.5B Buyback
Banking group Standard Chartered PLC unveiled a bumper $1.5 billion share buyback program on Tuesday as it delivered its financial results for 2025 amid "robust growth" in its larger markets.
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February 23, 2026
South Korea Wins Rethink Of $48.5M Hedge Fund Award
South Korea persuaded a London court Monday to partly set aside a $48.5 million arbitration award over claims that the country's former president and senior officials unlawfully interfered in an $8 billion merger between two Samsung affiliates in 2015.
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February 23, 2026
EU Watchdog Slashes MiFID Compliance For Exchanges
The European Union's financial markets regulator said Monday that it has withdrawn with immediate effect its guidelines for market data providers under the regime known as the Markets in Financial Instruments Directive II to reduce the compliance burden.
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February 23, 2026
Chinese Finance Firm Blocks UK 'Unisonpay' Trademark
The UK Intellectual Property Office has refused a U.K. financial services company's trademark application for the "Unisonpay" mark, finding the name is likely to confuse consumers with earlier marks owned by China UnionPay Co. Ltd.
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February 23, 2026
Global Exchange Body Warns Of Longer Trading Hours Risks
Any move to extend exchange trading hours across the globe requires "deep coordination" and must involve improvements to financial market infrastructure to avoid a range of potential risks linked to around-the-clock trade, a London-based global exchange group has said.
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February 23, 2026
Property Co. Says Lenders Can't Block Claim Over $68M Debt
A Nigerian real estate company has said that two lenders cannot use the English courts to block it from pursuing proceedings against them in the west African country over the business' allegedly outstanding $68.6 million debt.
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February 23, 2026
ESMA Clarifies Rules On Active Financial Clearing Accounts
Europe's financial markets regulator has issued new supervisory guidance to clarify how major companies must meet an important post-Brexit obligation for derivatives clearing under European Union law and report on it to supervisors.
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February 20, 2026
Reality TV Stars Cop To Charges For Illegal Forex Trading Ads
A London judge on Friday fined seven reality TV stars and social media influencers for promoting an unauthorized trading scheme where they recommended high-risk financial products tied to foreign exchange rates.
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February 20, 2026
UK Litigation Roundup: Here's What You Missed In London
The last week in London saw the founders of Getir sue investment fund Mubadala for more than $700 million tied to alleged breaches during the company's restructuring, the Welsh Rugby Union face a claim by Swansea Council over a proposed takeover of Cardiff Rugby, and Euro Car Parks target the Competition and Markets Authority after it was fined by the watchdog. Here, Law360 looks at these and other new claims in the U.K.
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February 20, 2026
JP Morgan Fined €12.2M By ECB For Misreporting Risk
The European Central Bank has fined J.P. Morgan €12.18 million ($14.35 million) for breaching reporting rules governing capital held against the risk of default, saying the company was guilty of serious negligence and had deficiencies in its internal processes.
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February 20, 2026
FCA Clarifies Conflicting UK Rules For Share Issuers
The Financial Conduct Authority has clarified overlapping rules on how quickly banks bringing shares to the stock market must notify a regulatory information service such as the London Stock Exchange's RNS.
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February 20, 2026
EU Regulator Slaps REGIS-TR With Record €1.4M Fine
The European Union markets regulator has fined REGIS-TR a record €1.37 million ($1.61 million) for rule breaches that put at risk the confidentiality of trading data essential for surveillance of the market by watchdogs, the highest penalty it has yet imposed on a trade depository.
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February 20, 2026
HSF Kramer-Led Swiss Re To Buy QBE Business Segment
Swiss Re Group said Friday its commercial insurance division has agreed to acquire the global trade credit and surety business of Australia's QBE Insurance Group, to satisfy growing demand for its risk management services.
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February 20, 2026
Quinn Emanuel Client Can't Block Ex-Staffer's Abusive Emails
An appeals court rejected a bid by a Quinn Emanuel client on Friday to prevent a former employee from sending abusive messages to the firm's lawyers, saying that it could have pursued proceedings itself to stop the harassment.
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February 19, 2026
Payment Co. Founder Denied Relief In Whistleblower Case
A tribunal has refused interim relief to the former owner of a payment services company, finding that his claim he was dismissed for blowing the whistle on breaches of Financial Conduct Authority regulations is not likely to succeed at this stage of the litigation.
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February 26, 2026
UK Finance Trade Body Hires Ex-KPMG General Counsel
The Finance & Leasing Association said Thursday that it has recruited a former KPMG general counsel to bolster its legal and governance capability amid growing regulatory scrutiny of the sectors it represents.
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February 19, 2026
Ex-Commerzbank Analyst Trims Prison Time For Fake Claims
The Court of Appeal overturned on Thursday a 20-month prison sentence for a former Commerzbank AG analyst who lied about having been sexually harassed and assaulted by a colleague.
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February 19, 2026
Fridman Relies On Sanctions Travel Ban To Beat $11M Claim
Sanctioned Russian-Israeli banker Mikhail Fridman was not validly served at his London mansion with a claim in an $11 million battle over a loan notes investment because he was banned from the U.K., a London appeals court ruled Thursday.
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February 19, 2026
Bank Of Ireland Fined £3.7M Over Year-Late Fraud Safeguard
The Payment Systems Regulator revealed Thursday that it has fined Bank of Ireland UK PLC more than £3.7 million ($5 million) for missing a deadline by 14 months to put in place an account name-checking service to combat the risk of fraud.
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February 19, 2026
ICO Wins 'Personal Data' Appeal Over Currys Cyberattack
A London appeals court ruled Thursday that data stolen in a cyberattack on electronics retailer Currys was personal data because Currys could identify the data subjects even if the hackers could not.
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February 19, 2026
FCA Chief Rathi Wants Shift Away From New Rules
The Financial Conduct Authority will seek to make fewer new rules on the sectors it regulates, its chief executive has said, amid political pressure on the watchdog to do more to support U.K. economic growth.
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February 19, 2026
EU Watchdog To Update Guidance On Inside Information
The European Union markets watchdog proposed Thursday to simplify guidelines on delaying disclosure of inside information under the market abuse regime, in order to reduce the burden for companies listing on stock exchanges.
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February 19, 2026
Spread-Betting Biz Fights Order To Unwind Merger With Rival
Sports betting company Spreadex urged the Competition Appeal Tribunal on Thursday to quash an order forcing it to sell a business it acquired in 2023, saying it was wrong to find that the merger would threaten competition.
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February 18, 2026
Visa, Mastercard Can't Avoid Swipe Fee Claims Pass-On
Mastercard and Visa lost a bid on Wednesday to fend off a class action from retailers over unlawful card payment fees by arguing that the merchants didn't suffer loss because they passed on the charges.
Expert Analysis
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FCA's Broad Proposals Aim To Protect Customer Funds
The Financial Conduct Authority’s proposed changes to payments firms’ safeguarding requirements, with enhanced recordkeeping and fund segregation, seek to bolster existing regulatory provisions, but by introducing a statutory trust concept to cover customers’ assets, represent a set of onerous rules, says Matt Hancock at Greenberg Traurig.
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Takeaways From Upcoming Payment Fraud Delay Legislation
Lawyers at Hogan Lovells discuss what to know about new legislation that will allow payment service providers to delay payments when third-party fraud is suspected, and share pointers for providers to consider ahead of the Oct. 30 effective date.
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Modernizing UK Trade Settlement Standard: The Road Ahead
Andrew Tsang and Tom Bacon at BCLP consider the rationale and challenges of a potential U.K. trade settlement acceleration, part of an initiative to modernize the financial market infrastructure, and suggest that incorporating distributed ledger technology as a synchronized recording system would facilitate the move.
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Analyzing The Implications Of 1st FCA Crypto ATM Crackdown
The Financial Conduct Authority’s recent criminal prosecution of Olumide Osunkoya, its first enforcement action against a crypto-asset trading firm's owner, is an unambiguous sign of the regulator’s commitment to actively pursue transgressors, but may be a hindrance to the U.K. crypto industry, says Asim Arshad at Lawrence Stephens.
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Draft Merger Control Guidance Allows CMA To Cast Wide Net
The Competition and Markets Authority's recent draft merger control guidance, reflecting the regulator's strengthened powers under the Digital Markets, Competition and Consumer Act, introduces extensive change and potential procedural improvements, specifically concerning reviews of private equity firms, say lawyers at Travers Smith.
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Key Points From Cayman's Beneficial Ownership Regime
While recent expansion of the Cayman Islands Beneficial Ownership Act's scope means it now encompasses many entities with previously minimal obligations, the changes ensure a welcome level playing field with workable alternative routes to compliance, says Lucy Frew at Walkers Global.
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HMRC Transfer Pricing Guide A Vital Resource For Businesses
HM Revenue & Customs' recent guidelines on common transfer pricing compliance risks should be required reading for affected businesses in indicating HMRC's expected benchmark for documents and policies, say Tomoko Ikawa and Kapisha Vyas at Simmons & Simmons.
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Insights From FRC's Report On Good Corporate Governance
Although the Financial Reporting Council’s recent report on private companies opting to follow the Wates principles has identified improvements, it is important for organizations to provide transparent disclosures and avoid boilerplate, tickbox filings, says Tessa Hastie at BCLP.
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What To Know About The UK Overseas Funds Regime
The U.K.’s overseas funds regime is now open for applications, providing a simplified way of offering a foreign fund to U.K. retail investors, and the Financial Conduct Authority's clear policy statement on implementation should ease the transition process from the existing scheme, say lawyers at Dechert.
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Takeaways From SRA Consumer Protection Review
While the Solicitors Regulation Authority prepares to announce its findings later this year following its consumer protection consultation, the topic of handling client funds is very much alive in the legal industry, with polarizing views on what should happen as a result of the review, says Claire Van Der Zant at Shieldpay.
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Reflecting On 12 Months Of The EU Foreign Subsidy Regime
New European Commission guidance, addressing procedural questions and finally providing clarity on “distortion” in merger control and public procurement, offers an opportunity to reflect on the year since foreign subsidy notification obligations were introduced, say lawyers at Fried Frank.
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What Updated Guide Means For Jersey's Private Funds
The Jersey Financial Services Commission's recent updates to the Jersey Private Fund Guide clarify existing provisions and introduce new requirements for fund managers, service providers and investors, demonstrating a clear commitment to maintaining Jersey's reputation as an attractive jurisdiction for investment, say lawyers at Walkers Global.
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The Road Ahead For Tokenized Investment Funds In The UK
With an HM Treasury working group expected to release the final phase of a road map for tokenized investment funds by the end of the year, Andrew Tsang and Tom Bacon at BCLP discuss the advantages for investors and fund administrators, the proposed model for implementation, and what the regulatory landscape may look like.
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Review Of EU Cross-Border Merger Regs' Impact On Irish Cos.
Looking back on the year since the European Union Mobility Directive was transposed into Irish law, enabling Irish and European Economic Area limited liability companies to participate in cross-border deals, it is clear that restructuring options available to Irish companies with EU operations have significantly expanded, say lawyers at Matheson.
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A Look At UK, EU And US Cartel Enforcement Trends
The European Union, U.K. and U.S. competition agencies' recently issued joint statement on competition risks in generative artificial intelligence demonstrates increased cross-border collaboration on cartel investigations, meaning companies facing investigations in one jurisdiction should anticipate related investigations in other jurisdictions, say lawyers at Latham & Watkins.