This chapter does not affect the application of other requirements in the FCA Handbook applying to firms in relation to their insurance distribution activities including but not limited to:
- (1)
- (2)
- (3)
appropriateness (COBS 10A);
- (4)
identification and management of conflicts of interest (SYSC 10.1 for intermediaries or SYSC 3.3 for insurers); and
- (5)
inducements (COBS 2.3A).
[Note: article 25(3) of the IDD]
