The FCA’s expectations on DB transfers need to be clarified to avoid the risk of the market failing, a veteran pensions expert says.

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The ombudsman has ruled against an advisory firm over a Sipp transfer for which the introducer was unregulated, despite “limited evidence” it was providing advice.

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The FCA has stripped three firms of their regulatory permissions due to unpaid levies and fees.

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Advisers will be asked to tell clients that the annuity they are being recommended may not produce the best annual income if the firm lacks details of all market rates.

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The FCA has secured eight confiscation orders totalling almost £2.2 million related to an unauthorised collective investment scheme.

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The FCA says there is a ‘high level’ of ‘unacceptable’ practice with advice firms’ initial disclosure, including costs and services.

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A new online resource has been launched to help advisers through the ‘minefield’ of due diligence on platforms.

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The Pensions Regulator has begun a name and shame operation to show which companies are failing to comply with auto-enrolment.

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Ex-regulator Rory Percival has warned Financial Planners they have just 7 months to ensure the risk profile tools they use are ‘fit for purpose’.

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An adviser convicted of theft has lost his court appeal against an FCA ban despite claiming there was a ‘vendetta’ against him.

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