Financial Markets Conduct (Overseas Registered Banks and Licensed Insurers) Exemption Notice 2015

  • revoked
  • Financial Markets Conduct (Overseas Registered Banks and Licensed Insurers) Exemption Notice 2015: revoked, on the close of 31 January 2017, by clause 8 of the Financial Markets Conduct (Overseas Registered Banks and Licensed Insurers) Exemption Notice 2016 (LI 2016/245).

Reprint as at 1 February 2017

Coat of Arms of New Zealand

Financial Markets Conduct (Overseas Registered Banks and Licensed Insurers) Exemption Notice 2015

(LI 2015/122)

Financial Markets Conduct (Overseas Registered Banks and Licensed Insurers) Exemption Notice 2015: revoked, on the close of 31 January 2017, by clause 8 of the Financial Markets Conduct (Overseas Registered Banks and Licensed Insurers) Exemption Notice 2016 (LI 2016/245).

Note

Changes authorised by subpart 2 of Part 2 of the Legislation Act 2012 have been made in this official reprint.

Note 4 at the end of this reprint provides a list of the amendments incorporated.

This notice is administered by the Financial Markets Authority.

Pursuant to section 556 of the Financial Markets Conduct Act 2013, the Financial Markets Authority, being satisfied of the matters set out in section 557 of that Act, gives the following notice.