Search Legislation

The Uncertificated Securities Regulations 2001

Changes to legislation:

There are outstanding changes not yet made by the legislation.gov.uk editorial team to The Uncertificated Securities Regulations 2001. Those changes will be listed when you open the content using the Table of Contents below. Any changes that have already been made by the team appear in the content and are referenced with annotations. Help about Changes to Legislation

Close

Changes to Legislation

Revised legislation carried on this site may not be fully up to date. Changes and effects are recorded by our editorial team in lists which can be found in the ‘Changes to Legislation’ area. Where those effects have yet to be applied to the text of the legislation by the editorial team they are also listed alongside the affected provisions when you open the content using the Table of Contents below.

View outstanding changes

Changes and effects yet to be applied to :

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

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

  1. Introductory Text

  2. PART 1 CITATION, COMMENCEMENT, AND INTERPRETATION

    1. 1.Citation and commencement

    2. 2.Purposes and basic definition

    3. 3.Interpretation

  3. PART 2 THE OPERATOR

    1. APPROVAL AND COMPLIANCE

      1. 4.Applications for approval

      2. 5.Grant and refusal of approval

      3. 6.Fees charged by the Treasury

    2. SUPERVISION

      1. 7.Withdrawal of approval

      2. 8.Compliance orders and directions

      3. 9.Injunctions and restitution orders

      4. 10.Provision of information by Operators

      5. 11.Delegation of Treasury functions

      6. 12.International obligations

      7. 13.Prevention of restrictive practices

  4. PART 3 PARTICIPATING SECURITIES

    1. PARTICIPATION BY ISSUERS

      1. 14.Participation in respect of shares

      2. 15.This regulation applies to a class of shares if a...

      3. 16.(1) This regulation applies to a class of shares if...

      4. 17.(1) A class of shares in relation to which, immediately...

      5. 18.Interpretation of regulations 15, 16 and 17

      6. 19.Participation in respect of securities other than shares

    2. KEEPING OF REGISTERS AND RECORDS

      1. 20.Entries on registers and records in respect of shares

      2. 21.Entries on registers and records in respect of general public sector securities

      3. 22.Entries on registers and records in respect of other securities

      4. 23.General provisions concerning keeping registers and records

      5. 24.Effect of entries on registers

      6. 25.Rectification of registers of securities

      7. 26.Closing registers

      8. 27.Registration by an Operator of transfers of securities

      9. 28.Registration by a participating issuer of transfers of securities upon conversion into certificated form

      10. 29.Registration to be in accordance with regulations 27 and 28

      11. 30.Registration of linked transfers

      12. 31.Position of a transferee prior to entry on an issuer register of securities

    3. CONVERSIONS AND NEW ISSUES

      1. 32.Conversion of securities into certificated form

      2. 33.Conversion of securities into uncertificated form

      3. 34.New issues in uncertificated form

  5. PART 4 DEMATERIALISED INSTRUCTIONS ETC.

    1. 35.Properly authenticated dematerialised instructions, etc.

    2. 36.Liability for forged dematerialised instructions, induced amendments to Operator registers of securities, and induced Operator-instructions

  6. PART 5 MISCELLANEOUS AND SUPPLEMENTAL

    1. MISCELLANEOUS

      1. 37.Construction of references to transfers etc.

      2. 38.Certain formalities and requirements not to apply

      3. 39.Fees charged by Operators

      4. 40.Trusts, trustees and personal representatives etc.

      5. 41.Notices of meetings etc.

      6. 42.Notices to minority shareholders

      7. 43.Irrevocable powers of attorney

      8. 44.Actual notice

      9. 45.Participating securities issued in uncertificated form

    2. DEFAULTS AND CONTRAVENTIONS

      1. 46.Breaches of statutory duty

      2. 47.Liability of officers for contraventions

      3. 48.Exemption from liability

    3. NORTHERN IRELAND

      1. 49.Application to Northern Ireland

    4. TRANSITORY PROVISIONS, AMENDMENTS AND REVOCATIONS

      1. 50.Transitory provisions

      2. 51.Minor and consequential amendments

      3. 52.Revocations

  7. Signature

    1. SCHEDULE 1

      REQUIREMENTS FOR APPROVAL OF A PERSON AS OPERATOR

      1. Arrangements and resources

        1. 1.An Operator must have adequate arrangements and resources for the...

      2. Financial resources

        1. 2.An Operator must have financial resources sufficient for the proper...

      3. Promotion and maintenance of standards

        1. 3.An Operator must be able and willing to promote and...

      4. Operation of the relevant system

        1. 4.(1) Except in the circumstances referred to in subparagraph (2),...

      5. System security

        1. 5.(1) A relevant system must be so constructed and operate...

      6. System capabilities

        1. 6.A relevant system must ensure that the Operator-system can send...

        2. 7.Before an Operator registers a transfer of title to uncertificated...

        3. 8.Before an Operator-instruction to a participating issuer to register a...

        4. 9.A relevant system must enable an Operator to comply with...

        5. 10.A relevant system must maintain adequate records of all dematerialised...

        6. 11.A relevant system must— (a) enable each system-member to obtain...

        7. 12.A relevant system must be able to permit each participating...

        8. 13.A relevant system must be able to establish, where there...

        9. 14.A relevant system must ensure that the Operator-system is able...

        10. 15.A relevant system must— (a) enable a system-member—

        11. 16.For the purposes of paragraph 15(a)(ii), once authority is granted...

        12. 17.Nothing in paragraph 15 or 16 shall be taken, in...

        13. 18.A relevant system must enable system-members— (a) to change the...

        14. 19.Paragraph 18 shall not apply to any wholly dematerialised security....

      7. Operating procedures

        1. 20.A relevant system must comprise procedures which provide that it...

        2. 21.(1) Subject to subparagraphs (2) to (5), a relevant system...

        3. 22.(1) Subject to subparagraph (2), a relevant system must comprise...

        4. 23.A relevant system must comprise procedures which ensure that, where...

        5. 24.A relevant system must comprise procedures which—

      8. Rules and practices

        1. 25.An Operator’s rules and practices— (a) must bind system-members and...

        2. 26.An Operator’s rules and practices must require—

        3. 27.An Operator must have rules which require system-users and former...

      9. Access to central counterparty, clearing and settlement facilities

        1. 28.(1) The Operator must make transparent and non-discriminatory rules, based...

    2. SCHEDULE 2

      PREVENTION OF RESTRICTIVE PRACTICES

      1. Examination of rules and practices

        1. 1.(1) The Treasury shall not approve a person as Operator...

      2. Modification of paragraph 1 where delegation order is made

        1. 2.(1) This paragraph applies instead of paragraph 1 where the...

      3. Reports by the Office of Fair Trading

        1. 3.(1) The Treasury shall before deciding— (a) whether to refuse...

      4. Investigations by the Office of Fair Trading

        1. 4.(1) For the purpose of investigating any matter with a...

      5. Enforcement

        1. 4A.(1) The court may, on an application by the OFT...

        2. 4B.(1) A person commits an offence if he intentionally alters,...

        3. 4A.Enforcement

        4. 4B.(1) A person commits an offence if he intentionally alters,...

      6. Exemptions from the Fair Trading Act 1973

        1. 5.(1) For the purpose of determining whether a monopoly situation...

      7. Exemptions from the Competition Act 1998

        1. 6.(1) The Chapter I prohibition does not apply to —...

      8. Supplementary provisions

        1. 7.(1) Any direction given under this Schedule shall, on the...

    3. SCHEDULE 3

      PROCEDURE FOR REFUSAL OR WITHDRAWAL OF APPROVAL AS AN OPERATOR, OR FOR GIVING DIRECTIONS, ETC.

      1. 1.Before— (a) refusing an application for approval as an Operator...

      2. 2.A notice under paragraph 1 shall— (a) state why the...

      3. 3.Before the end of the period for making representations—

      4. 4.The period for making representations is— (a) two months beginning—...

      5. 5.In deciding whether to refuse the application, withdraw the approval,...

      6. 6.When the Treasury have decided whether to refuse the application,...

      7. 7.If the Treasury consider it essential to do so, they...

      8. 8.If the Treasury have, in relation to a particular matter,...

    4. SCHEDULE 4

      KEEPING OF REGISTERS AND RECORDS OF PARTICIPATING SECURITIES

      1. Interpretation

        1. 1.In this Schedule— “uncertificated shares” means shares title to which...

      2. Registers of Members

        1. 2.(1) Every participating issuer which is a company shall enter...

        2. 3.Section 123 of the 2006 Act shall apply to a...

        3. 4.(1) In relation to every participating issuer which is a...

      3. Records of uncertificated shares

        1. 5.(1) Every participating issuer which is a company shall enter...

      4. Location of issuer register of members and records of uncertificated shares, and ancillary matters

        1. 6.(1) Subject to subparagraph (2), a company’s issuer register of...

        2. 7.(1) Every participating issuer which is a company having more...

        3. 8.Section 122 of the 2006 Act shall apply to a...

        4. 9.Sections 115 to 118 of the 2006 Act shall apply...

        5. 10.Where under paragraph 6(1), a company’s issuer register of members...

        6. 11.Where, under section 125 of the 2006 Act, the court...

      5. Registers of general public sector securities

        1. 12.(1) Where an Operator of a relevant system is required...

      6. Records of uncertificated general public sector securities

        1. 13.(1) The participating issuer shall enter in a record of...

      7. Registers of corporate securities

        1. 14.(1) Where an Operator of a relevant system is required...

      8. Records of uncertificated corporate securities

        1. 15.(1) A participating issuer shall enter in a record of...

      9. Miscellaneous

        1. 16.(1) Every register which an Operator is required to maintain...

        2. 17.(1) An entry in a register of securities or in...

        3. 18.Sections 1134, 1135 and 1138 of the 2006 Act shall...

        4. 19.(1) Such sanctions as apply to a company and its...

        5. 20.An officer of a participating issuer shall be in default...

        6. 21.An officer of an Operator shall be in default in...

    5. SCHEDULE 5

      ADAPTATIONS IN RESPECT OF NORTHERN IRELAND

    6. SCHEDULE 6

      TRANSITORY PROVISIONS

      1. 1.Prior to the day on which section 19 of the...

      2. 2.The definition of “securities” in regulation 3(1) shall be modified...

      3. 3.Regulation 5 shall be modified by the substitution for paragraph...

      4. 4.Regulation 7 shall be modified by— (a) the insertion in...

      5. 5.Regulation 8 shall be modified by— (a) the substitution for...

      6. 6.In regulation 9— (a) paragraph (7) shall be modified by...

      7. 7.Regulation 11(1) shall be modified to read—

      8. 8.In paragraph 5(7) of Schedule 1— (a) paragraph (a) of...

      9. 9.Schedule 2 shall be modified by— (a) the substitution for...

    7. SCHEDULE 7

      MINOR AND CONSEQUENTIAL AMENDMENTS

      1. Part 1 Primary Legislation

        1. The National Debt Act 1870

          1. 1.In section 3 of the National Debt Act 1870, for...

        2. The National Debt (Stockholders Relief) Act 1892

          1. 2.In subsection (1) of section 2 of the National Debt...

        3. The Finance (No. 2) Act 1915

          1. 3.In section 48 of the Finance (No. 2) Act 1915—...

        4. The Finance Act 1916

          1. 4.In section 67 of the Finance Act 1916—

        5. The Finance Act 1949

          1. 5.In section 48 of the Finance Act 1949—

        6. The Finance (No. 2) Act 1975

          1. 6.In section 73 of the Finance (No. 2) Act 1975—...

        7. The Companies Act 1985

          1. 7.In subsection (1)(b) of section 182 of the 1985 Act,...

          2. 8.In subsection (1) of section 183 of that Act, after...

          3. 9.In section 209(9B)(b) of the 1985 Act, for “Uncertificated Securities...

          4. 10.In subsection (4) of section 380 of the 1985 Act,...

        8. The Financial Services Act 1986

          1. 11.In subsection (1) of section 180 of the 1986 Act,...

          2. 12.In the 1986 Act, in— (a) paragraph 16A(a) of Schedule...

        9. The Banking Act 1987

          1. 13.In the Banking Act 1987, in— (a) paragraph 11B in...

      2. Part 2 Subordinate Legislation

        1. The Government Stock Regulations 1965

          1. 14.In the 1965 Regulations— (a) in regulation 1(3), for “Subject...

        2. The Local Authority (Stocks and Bonds) Regulations 1974

          1. 15.In the 1974 Regulations— (a) in regulation 1(3)—

        3. The Exchange of Securities (General) Rules 1979

          1. 16.In the Exchange of Securities (General) Rules 1979—

        4. The Companies (Registers and other Records) Regulations 1985

          1. 17.In the Companies (Registers and other Records) Regulations 1985—

        5. The Stamp Duty Reserve Tax Regulations 1986

          1. 18.In the Stamp Duty Reserve Tax Regulations 1986, in the...

        6. The Companies (Registers and other Records) Regulations (Northern Ireland) 1986

          1. 19.In the Companies (Registers and other Records) Regulations (Northern Ireland)...

        7. The Financial Markets and Insolvency Regulations 1996

          1. 20.In the Financial Markets and Insolvency Regulations 1996—

        8. The Stock Transfer (Addition and Substitution of Forms) Order 1996

          1. 21.In the Stock Transfer (Addition and Substitution of Forms) Order...

        9. The Financial Services Act 1986 (Exemption) Order 1996

          1. 22.In the Financial Services Act 1986 (Exemption) Order 1996, in...

        10. The Stamp Duty Reserve Tax (UK Depository Interests in Foreign Securities) Regulations 1999

          1. 23.In the Stamp Duty Reserve Tax (UK Depository Interests in...

        11. The Open-Ended Investment Companies Regulations 2001

          1. 24.In the Open-Ended Investment Companies Regulations 2001—

  8. Explanatory Note

Back to top

Options/Help

Print Options

Close

Legislation is available in different versions:

Latest Available (revised):The latest available updated version of the legislation incorporating changes made by subsequent legislation and applied by our editorial team. Changes we have not yet applied to the text, can be found in the ‘Changes to Legislation’ area.

Original (As Enacted or Made): The original version of the legislation as it stood when it was enacted or made. No changes have been applied to the text.

Close

Opening Options

Different options to open legislation in order to view more content on screen at once

Close

More Resources

Access essential accompanying documents and information for this legislation item from this tab. Dependent on the legislation item being viewed this may include:

  • the original print PDF of the as enacted version that was used for the print copy
  • lists of changes made by and/or affecting this legislation item
  • confers power and blanket amendment details
  • all formats of all associated documents
  • correction slips
  • links to related legislation and further information resources
Close

Timeline of Changes

This timeline shows the different points in time where a change occurred. The dates will coincide with the earliest date on which the change (e.g an insertion, a repeal or a substitution) that was applied came into force. The first date in the timeline will usually be the earliest date when the provision came into force. In some cases the first date is 01/02/1991 (or for Northern Ireland legislation 01/01/2006). This date is our basedate. No versions before this date are available. For further information see the Editorial Practice Guide and Glossary under Help.

Close

More Resources

Use this menu to access essential accompanying documents and information for this legislation item. Dependent on the legislation item being viewed this may include:

  • the original print PDF of the as made version that was used for the print copy
  • correction slips

Click 'View More' or select 'More Resources' tab for additional information including:

  • lists of changes made by and/or affecting this legislation item
  • confers power and blanket amendment details
  • all formats of all associated documents
  • links to related legislation and further information resources