Our website uses cookies

Cookies are small files held on your device to customise your experience of this website
Necessary cookies Analytics cookies Accept cookies
Yes Yes
Yes No
Skip to main content
Bank of England Prudential Regulation Authority Rulebook homepage Bank of England Prudential Regulation Authority
  • Rulebook
    • Back to main menu
    • Rulebook
    • CRR Firms
    • Non-CRR Firms
    • SII Firms
    • Non-SII Firms
    • Non-authorised Persons
    • Glossary
    • Forms
    • Legal Instruments
  • Guidance
  • What's New
  • Contact Us
  • Help
  • Nothing searched for. Please enter a search term.

  1. Home Page
  2. Legal Instruments
  3. SYSC Senior Management Arrangements, Systems and Controls sourcebook
  4. Conflicts of interest

Legal Instruments

Legal instruments shows a list of legal instruments that have been made by the PRA and published. They can be found on this page, or via the Bank of England’s Publications page.
  • Conflicts of interest (SYSC Senior Management Arrangements, Systems and Controls sourcebook)

Legal Instruments that change this Chapter Conflicts of interest

Content loading

An error has occurred. Please try again.

Filter by Year Published

Filter by Year Effective

8 results

8 results

Published: 03/08/2015

PRA2015/67 - Handbook (Rulebook Consequentials No. 3) Instrument 2015

Effective: 03/08/2015

  • Conflicts of interest

Policy Statement

  • PS19/15 - The PRA Rulebook: Part 3

Published: 25/03/2013

PRA 2013/5 - Financial Conduct Authority and Prudential Regulation Authority Handbook Designation (Particular Modifications) Instrument 2013

Effective: 01/04/2013

  • Conflicts of interest [Note: Not mandatory for a common platform firm until 01/11/07. See SYSC TP1]

Policy Statement

  • - Legal Cutover

FSA2009/37 - Handbook Administration (No 14) Instrument 2009

Effective: 01/04/2009

  • Conflicts of interest [Note: Not mandatory for a common platform firm until 01/11/07. See SYSC TP1]

FSA2008/40 - Senior Management Arrangements, Systems and Controls (Extension of Common Platform Provisions) Instrument 2008

Effective: 01/04/2009

  • Conflicts of interest [Note: Not mandatory for a common platform firm until 01/11/07. See SYSC TP1]

FSA2007/58 - MiFID (Deferred Matters and Consequential Amendments) Instrument 2007

Effective: 01/11/2007

  • Conflicts of interest [Note: Not mandatory for a common platform firm until 01/11/07. See SYSC TP1]

FSA2007/9 - MiFID (Miscellaneous Amendments) Instrument 2007

Effective: 01/11/2007

  • Conflicts of interest [Note: Not mandatory for a common platform firm until 01/11/07. See SYSC TP1]
  • page 1
  • page 2
  • Next page

Back to top

  • Follow Bank of England

    • Connect with us on LinkedIn
    • Follow us on Twitter
    • Add us on Facebook
    • Follow us on Instagram
    • Find us on Threads
    • That's Tiktok
    • Watch us on Youtube
    • Find us on Flickr
  • Browse website

    • What's New
    • Rulebook
    • Legal Instruments
    • Help
    • Guidance
    • Glossary
    • Forms
    • Contact Us

Prudential Regulation Authority

  • 20 Moorgate, London, EC2R 6DA
  • Telephone: +44 (0) 20 3461 7000
Bank of England homepage
  • Accessibility
  • Cookies
  • Legal
  • Privacy

©2026 Bank of England