The Companies Act 2006 (Consequential Amendments) (Uncertificated Securities) Order 2009

JurisdictionUK Non-devolved
CitationSI 2009/1889
Year2009

2009 No. 1889

Companies

The Companies Act 2006 (Consequential Amendments) (Uncertificated Securities) Order 2009

Made 14th July 2009

Coming into force 1st October 2009

The Treasury makes the following Order, in exercise of the powers conferred by sections 784, 785, 788, 1292 and 1294 of the Companies Act 20061.

In accordance with section 789 of that Act, the Treasury has carried out such consultation as appeared to it to be appropriate.

In accordance with sections 784(3), 1290 and 1294(6) of that Act, a draft of this instrument was laid before Parliament and approved by a resolution of each House of Parliament.

S-1 Citation and commencement

Citation and commencement

1.—(1) This Order may be cited as the Companies Act 2006 (Consequential Amendments) (Uncertificated Securities) Order 2009.

(2) This Order comes into force on 1st October 2009.

S-2 Amendment of the Uncertificated Securities Regulations 2001

Amendment of the Uncertificated Securities Regulations 2001

2.—(1) The Uncertificated Securities Regulations 20012are amended as follows.

(2) In regulation 3(1) (interpretation)—

(a)

(a) omit the definition of “the 1985 Act”;

(b)

(b) after the definition of “the 2000 Act” insert—

““the 2006 Act” means the Companies Act 2006;”;

(c)

(c) omit the definition of “the 1986 Order”;

(d)

(d) in the definition of “company”, for “section 735(1) of the 1985 Act” substitute “section 1(1) of the 2006 Act”;

(e)

(e) in the definition of “officer”, for “section 744 of the 1985 Act” substitute “section 1173(1) of the 2006 Act”;

(f)

(f) in the phrase “and other expressions have the meanings given to them by the 1985 Act”, for “1985 Act” substitute “Companies Acts (as defined by section 2 of the 2006 Act)”.

(3) In regulation 16 (participation in respect of shares), in paragraph (8A), for “the Companies Act 2006” substitute “the 2006 Act”.

(4) In regulation 18 (interpretation of regulations 15, 16 and 17), for “section 188 of the 1985 Act” substitute “section 779 of the 2006 Act”.

(5) In regulation 20 (entries on registers and records in respect of shares), in paragraph (7), for “section 352 of the 1985 Act” substitute “section 113 of the 2006 Act”.

(6) In regulation 21 (entries on registers and records in respect of general public sector securities), in paragraph (4), for “section 352 of the 1985 Act” substitute “section 113 of the 2006 Act”.

(7) In regulation 22 (entries on registers and records in respect of other securities) in paragraph (4), for “section 352 of the 1985 Act” substitute “section 113 of the 2006 Act”.

(8) In regulation 23 (general provisions concerning keeping registers and records)—

(a)

(a) in paragraph (2), for “20 years” substitute “10 years”;

(b)

(b) in paragraph (4), for “the 1985 Act” substitute “the 2006 Act”.

(9) After regulation 23(4) insert—

S-5

“5 Section 120 of the 2006 Act shall not apply with respect to a company which is a participating issuer.”.

(10) In regulation 24 (effect of entries on registers), in paragraph (4), for “Section 361 of the 1985 Act” substitute “Section 127 of the 2006 Act”.

(11) In regulation 26 (closing registers), omit “section 358 of the 1985 Act or”.

(12) In regulation 27 (registration by an Operator of transfers of securities)—

(a)

(a) for paragraph (8) substitute—

S-8

“8 If an Operator refuses to register a transfer of securities in any of the circumstances specified in paragraphs (2) and (4), the Operator shall, within 2 months of the date on which the relevant system-member instruction or issuer-instruction (as the case may be) was received by the Operator, send an Operator-instruction, or written notification, informing the relevant system-member or participating issuer (as the case may be) of the refusal.”;

(b)

(b) in paragraph (9), for “subsection (5) of section 183 of the 1985 Act” substitute “subsections (1) and (2) of section 771 of the 2006 Act”.

(13) In regulation 28 (registration by a participating issuer of transfers of securities upon conversion into certificated form)—

(a)

(a) for paragraph (8) substitute—

S-8

“8 If a participating issuer refuses to register under paragraph (2) a transfer of securities in any of the circumstances specified in paragraphs (3) and (4), the participating issuer shall, within 2 months of the date on which the Operator-instruction was received by the participating issuer, send to the transferee notice of the refusal.”;

(b)

(b) in paragraph (9), for “subsection (5) of section 183 of the 1985 Act” substitute “subsections (1) and (2) of section 771 of the 2006 Act”.

(14) In regulation 32 (conversion of securities into certificated form)—

(a)

(a) in paragraph (8), for “Subsection (1)(b) of section 185 of the 1985 Act” substitute “Subsection (1) of section 776 of the 2006 Act”;

(b)

(b) in paragraph (9), for “subsection (5) of section 183 of the 1985 Act” substitute “subsections (1) and (2) of section 771 of the 2006 Act”;

(c)

(c) in paragraph (10), for “subsection (1) of section 185 of the 1985 Act” substitute “subsection (1) of section 776 of the 2006 Act”.

(15) In regulation 33 (conversion of securities into uncertificated form), in paragraph (11), for “subsection (5) of section 183 of the 1985 Act” substitute “subsections (1) and (2) of section 771 of the 2006 Act”.

(16) In regulation 38 (certain formalities and requirements not to apply)—

(a)

(a) in paragraph (3)(a), for “section 186 of the 1985 Act” substitute “section 768 of the 2006 Act”;

(b)

(b) in paragraph (7), for “Subsection (4) of section 183 of the 1985 Act” substitute “Section 772 of the 2006 Act”.

(17) In regulation 40 (trusts, trustees and personal representatives etc)—

(a)

(a) in paragraph (2), for “section 192 of the 1985 Act” substitute “sections 750 and 751 of the 2006 Act”;

(b)

(b) in paragraph (3), for “section 360 of the 1985 Act” substitute “section 126 of the 2006 Act”.

(18) In regulation 41 (notices of meetings etc)—

(a)

(a) in paragraph (3)(a), for “section 370(2) of the 1985 Act” substitute “section 310(1) of the 2006 Act”;

(b)

(b) in paragraph (3)(b), for “section 238 of the 1985 Act” substitute “section 423(1) of the 2006 Act”.

(c)

(c) after paragraph (5), insert—

S-6

“6 In calculating the period mentioned in paragraph (1) above no account shall be taken of any part of a day that is not a working day.”.

(19) In regulation 42 (notices to minority shareholders)—

(a)

(a) for “Companies Act 2006”, in each place where it appears, substitute “2006 Act”;

(b)

(b) in paragraph (5), for “Subsection (1)(b) of section 185 of the 1985 Act” substitute “Subsection (1) of section 776 of the 2006 Act”;

(c)

(c) in paragraph (6), for “subsection (1) of section 185 of the 1985 Act” substitute “subsection (1) of section 776 of the 2006 Act”;

(d)

(d) in paragraph (12), for “subsection (5) of section 183 of the 1985 Act” substitute “subsections (1) and (2) of section 771 of the 2006 Act”.

(20) In regulation 49 (application to Northern Ireland), omit paragraphs (4)(a), (b), (d), (f) and (5).

(21) In Schedule 4 (keeping of registers and records of participating securities)—

(a)

(a) in paragraph 2(4), for “section 352 of the 1985 Act” substitute “section 113 of the...

To continue reading

Request your trial

VLEX uses login cookies to provide you with a better browsing experience. If you click on 'Accept' or continue browsing this site we consider that you accept our cookie policy. ACCEPT