News

David John Merrien

19th December 2013
The Financial Services Commission (Bailiwick of Guernsey) Law, 1987, as amended  (the “Financial Services Commission Law”)
The Insurance Managers and Insurance Intermediaries (Bailiwick of Guernsey) Law, 2002 as amended (the “Insurance Managers and Intermediaries Law”)
The Protection of Investors (Bailiwick of Guernsey) Law 1987 (the “Protection of Investors Law”)

The Guernsey Financial Services Commission (the “Commission”) issues this notice pursuant to its powers under section 2(2)(e) of the Financial Services Commission Law, Section 57 (e) of the  Insurance Managers and Intermediaries Law, and Section 34B(e) of the Protection of Investors Law .

The Commission wishes to make it known that as of the 19 December 2013, David John Merrien, is not licensed to carry out controlled investment business under the Protection of Investors Law.  He is also not licensed to carry out long term insurance business under the Insurance Managers and Intermediaries Law.