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Insolvency Act 1986

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Changes over time for: Cross Heading: Special rules for certain kinds of company etc

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Insolvency Act 1986, Cross Heading: Special rules for certain kinds of company etc is up to date with all changes known to be in force on or before 27 April 2024. There are changes that may be brought into force at a future date. Changes that have been made appear in the content and are referenced with annotations. Help about Changes to Legislation

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Changes and effects yet to be applied to the whole Act associated Parts and Chapters:

  • Act amendment to earlier affecting provision S.I. 1986/1999, art. 3, Sch. 1 Pt. 2 by S.I. 2017/1119 Sch. 3 para. 1
  • Act savings and transitional provisions for amendments by S.I. 2022/1166 by S.I. 2022/1172 Regulations

Whole provisions yet to be inserted into this Act (including any effects on those provisions):

[F1Special rules for certain kinds of company etcU.K.

Textual Amendments

A49Regulated companies: modifications to this PartU.K.

(1)For the purposes of sections A3 and A4 as they apply in relation to a regulated company, section A6(1) has effect as if the documents listed there included a reference to the written consent of the appropriate regulator to the appointment of the proposed monitor.

(2)The remaining provisions of this section apply in relation to a moratorium for a regulated company.

(3)Any notice under section A8(2), A17(2) to (4) or A39(8) must also be sent by the monitor to the appropriate regulator.

(4)The directors must give the appropriate regulator notice of any qualifying decision procedure by which a decision of the company’s creditors is sought for the purposes of section A12(2) or A44(4)(c).

(5)If the directors fail to comply with subsection (4), any director who did not have a reasonable excuse for the failure commits an offence.

(6)The appropriate regulator, or a person appointed by the appropriate regulator, may in the way provided for by the rules, participate (but not vote) in any qualifying decision procedure by which a decision of the company’s creditors is sought for the purposes of this Part.

(7)The appropriate regulator is entitled to be heard on any application to the court for permission under section A31(1) or A32(1) (disposal of charged property, etc).

(8)The court may make an order under section A39(1) only if the appropriate regulator has given its written consent to the appointment of the proposed monitor.

(9)The persons who may apply to the court under section A39(3), A42(1) or A44(1) include the appropriate regulator.

(10)If a person other than a regulator applies to the court under section A39(3), A42(1) or A44(1) the appropriate regulator is entitled to be heard on the application.

(11)If either regulator makes an application to the court under section A39(3), A42(1) or A44(1) in relation to a PRA-regulated company, the other regulator is entitled to be heard on the application.

(12)This section does not affect any right that the appropriate regulator has (apart from this section) as a creditor of a regulated company.

(13)In this section—

  • “the appropriate regulator” means—

    (a)

    where the regulated company is a PRA-regulated company, each of the Financial Conduct Authority and the Prudential Regulation Authority, and

    (b)

    where the regulated company is not a PRA-regulated company, the Financial Conduct Authority;

  • “PRA-authorised person” has the meaning given by section 2B(5) of the Financial Services and Markets Act 2000;

  • “PRA-regulated company” means a regulated company which—

    (a)

    is, or has been, a PRA-authorised person,

    (b)

    is, or has been, an appointed representative within the meaning given by section 39 of the Financial Services and Markets Act 2000, whose principal (or one of whose principals) is, or was, a PRA-authorised person, or

    (c)

    is carrying on, or has carried on, a PRA-regulated activity (within the meaning of section 22A of that Act) in contravention of the general prohibition;

  • “regulated activity” has the meaning given by section 22 of the Financial Services and Markets Act 2000, taken with Schedule 2 to that Act and any order under that section;

  • “regulated company” means a company which—

    (a)

    is, or has been, an authorised person within the meaning given by section 31 of the Financial Services and Markets Act 2000,

    (b)

    is, or has been, an appointed representative within the meaning given by section 39 of that Act, or

    (c)

    is carrying on, or has carried on, a regulated activity in contravention of the general prohibition within the meaning given by section 19 of that Act;

  • “regulator” means the Financial Conduct Authority or the Prudential Regulation Authority.

(14)The Secretary of State may by regulations amend this section for the purposes of changing the definition of “regulated company” in subsection (13).

(15)Regulations under subsection (14) are subject to the affirmative resolution procedure.

A50Power to modify this Part etc in relation to certain companiesU.K.

(1)The Secretary of State may by regulations make provision under the law of England and Wales or Scotland—

(a)to modify this Part as it applies in relation to a company for which there is a special administration regime, or

(b)in connection with the interaction between this Part and any other insolvency procedure in relation to such a company.

(2)The Welsh Ministers may by regulations make provision under the law of England and Wales—

(a)to modify this Part as it applies in relation to a company that is a social landlord registered under Part 1 of the Housing Act 1996, or

(b)make provision in connection with the interaction between this Part and any other insolvency procedure in relation to such a company.

(3)The Scottish Ministers may by regulations make provision under the law of Scotland—

(a)to modify this Part as it applies in relation to a company that is a social landlord registered under Part 2 of the Housing (Scotland) Act 2010 (asp 17), or

(b)make provision in connection with the interaction between this Part and any other insolvency procedure in relation to such a company.

(4)The Secretary of State may, by regulations, make any provision under the law of England and Wales, Scotland or Northern Ireland that appears to the Secretary of State to be appropriate in view of provision made under subsection (1), (2) or (3).

(5)The power in subsection (1), (2), (3) or (4) may, in particular, be used to amend, repeal, revoke or otherwise modify any provision made by an enactment.

(6)Regulations under subsection (1) or (4) are subject to the affirmative resolution procedure.

(7)A statutory instrument containing regulations under subsection (2) may not be made unless a draft of the statutory instrument containing them has been laid before and approved by a resolution of Senedd Cymru.

(8)Regulations made by the Scottish Ministers under subsection (3) are subject to the affirmative procedure (see section 29 of the Interpretation and Legislative Reform (Scotland) Act 2010 (asp 10)).

(9)In this section—

  • “insolvency procedure” includes—

    (a)

    in relation to subsection (1)(b), the provision made by sections 143A to 159 of the Housing and Regeneration Act 2008;

    (b)

    in relation to subsection (2)(b), the provision made by sections 39 to 50 of the Housing Act 1996;

    (c)

    in relation to subsection (3)(b), the provision made by Part 7 of the Housing (Scotland) Act 2010;

  • “ordinary administration” means the insolvency procedure provided for by Schedule B1;

  • “special administration regime” means provision made by an enactment for an insolvency procedure that—

    (a)

    is similar or corresponds to ordinary administration, and

    (b)

    provides for the administrator to have one or more special objectives instead of or in addition to the objectives of ordinary administration.

A51Power to make provision in connection with pension schemesU.K.

(1)The Secretary of State may by regulations provide that, in a case where—

(a)a moratorium—

(i)is in force in relation to a company that is an employer in respect of an eligible scheme, or

(ii)is or has been in force in relation to a company that has been an employer in respect of an eligible scheme at any time during the moratorium, and

(b)the trustees or managers of the scheme are a creditor of the company,

the Board of the Pension Protection Fund may exercise any of the following rights.

(2)The rights are those which are exercisable by the trustees or managers as a creditor of the company under or by virtue of—

(a)section A12, or

(b)a court order under section A44(4)(c).

(3)Regulations under subsection (1) may provide that the Board may exercise any such rights—

(a)to the exclusion of the trustees or managers of the scheme, or

(b)in addition to the exercise of those rights by the trustees or managers of the scheme.

(4)Regulations under subsection (1)—

(a)may specify conditions that must be met before the Board may exercise any such rights;

(b)may provide for any such rights to be exercisable by the Board for a specified period;

(c)may make provision in connection with any such rights ceasing to be so exercisable at the end of such a period.

(5)Regulations under subsection (1) are subject to the affirmative resolution procedure.

(6)In this section “eligible scheme” has the meaning given by section 126 of the Pensions Act 2004.]

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