Central Bank (Supervision and Enforcement) Act 2013

SCHEDULE 1

Repeals and Revocations

PART 1

Repeals

Section 4(1).

Item

(1)

Number and year

(2)

Short title

(3)

Extent of repeal

(4)

1

No. 3 of 1989

Insurance Act 1989

Section 3(2C)

2

No. 16 of 1989

Central Bank Act 1989

Section 87(3)

3

No. 17 of 1989

Building Societies Act 1989

Section 119(5)

4

No. 21 of 1989

Trustee Savings Banks Act 1989

Section 66(2)

5

No. 37 of 1990

Unit Trusts Act 1990

Section 18(3)

6

No. 24 of 1994

Investment Limited Partnerships Act 1994

Section 41(3)

7

No. 11 of 1995

Investment Intermediaries Act 1995

Section 79(3)

8

No. 24 of 1995

Consumer Credit Act 1995

Section 14(3)

9

No. 8 of 1997

Central Bank Act 1997

Section 27K

10

No. 15 of 1997

Credit Union Act 1997

Section 171(5)

11

No. 37 of 1998

Investor Compensation Act 1998

Section 43(3)

12

No. 32 of 2001

Dormant Accounts Act 2001

Section 6(4)

13

No. 47 of 2001

Asset Covered Securities Act 2001

Section 97

14

No. 2 of 2003

Unclaimed Life Assurance Policies Act 2003

Section 5(3)

15

No. 12 of 2005

Investment Funds, Companies and Miscellaneous Provisions Act 2005

Section 21(4)

16

No. 19 of 2007

Consumer Protection Act 2007

Section 76

17

No. 23 of 2010

Central Bank Reform Act 2010

Part 5

PART 2

Revocations

Section 4(2).

Item

(1)

Number and year

(2)

Citation

(3)

Extent of revocation

(4)

1

S.I. No. 727 of 2004

European Communities (Financial Conglomerates) Regulations 2004

Regulation 28(3)

2

S.I. No. 13 of 2005

European Communities (Insurance Mediation) Regulations 2005

Regulation 38(3)

3

S.I. No. 380 of 2006

European Communities (Reinsurance) Regulations 2006

Regulation 79(3)

4

S.I. No. 60 of 2007

European Communities (Markets in Financial Instruments) Regulations 2007

Regulations 164 and 190(2)

5

S.I. No. 383 of 2009

European Communities (Payment Services) Regulations 2009

Regulation 113(2) and (3)

6

S.I. No. 183 of 2011

European Communities (Electronic Money) Regulations 2011

Regulation 75(2) and (3)

7

S.I. No. 352 of 2011

European Communities (Undertakings for Collective Investment in Transferable Securities) Regulations 2011

Regulation 132(10) and (11)