FINANCIAL CONDUCT AUTHORITY (FORMERLY THE FINANCIAL SERVICES AUTHORITY) v HOBBS
[2013] Lloyd's Rep FC 504
COURT OF APPEAL(CIVIL DIVISION)
Before Lord Justice RIMER,Lord Justice RYDER,Sir BURNTON
Financial regulation – Civil procedure – Administration of justice – Banking and finance – Financial Services – Market abuse – Market manipulation – LIFFE trading – Accepted market practice – Intention of trader – Fit and proper person – Prohibition order – Notice of discontinuance – Reasons – Financial Services and Markets Act 2000, sections 56, 57, 118(5), 118(5)(a), 118(5)(b), 123 and 389 – Financial Services and Markets Act 2000 (Service of Notices) Regulations 2001.