C1Part VI Official Listing

Annotations:
Modifications etc. (not altering text)
C1

Pt. 6 (ss. 72-103) applied (with modifications) (1.12.2001) by S.I. 1995/1537, Sch. 4 (as amended (1.12.2001) by S.I. 2001/3649, arts. 1, 511)

F1Transparency obligations

Annotations:
Amendments (Textual)
F1

Ss. 89A-89G and cross-heading inserted (8.11.2006) by Companies Act 2006 (c. 46), ss. 1266(1), 1300(1)(a) (with s. 1266(2))

89CProvision of information by issuers of transferable securities

1

Transparency rules may make provision requiring the issuer of transferable securities, in circumstances specified in the rules—

a

to make public information to which this section applies, or

b

to notify to the F2FCA information to which this section applies,

or to do both.

2

In the case of every issuer, this section applies to—

a

information required by Article 4 of the transparency obligations directive;

b

information relating to the rights attached to the transferable securities, including information about the terms and conditions of those securities which could indirectly affect those rights; and

c

information about new loan issues and about any guarantee or security in connection with any such issue.

3

In the case of an issuer of debt securities, this section also applies to information required by Article 5 of the transparency obligations directive.

4

In the case of an issuer of shares, this section also applies to—

a

information required by Article 5 of the transparency obligations directive;

b

information required by Article 6 of that directive;

c

voteholder information—

i

notified to the issuer, or

ii

relating to the proportion of voting rights held by the issuer in respect of shares in the issuer;

d

information relating to the issuer's capital; and

e

information relating to the total number of voting rights in respect of shares or shares of a particular class.