subsection (2) applies.
(2) This Division does not, because of:
- (a)
- a dealer, being the
member organisation or a partner in the member organisation, having become
insolvent at a particular time; and
- (b)
- the member organisation having received, under the agreement, the
consideration or the settlement documents;
entitle the person to make a claim in respect of the consideration or the
settlement documents, as the case may be, unless the member organisation's
obligations to the person in respect of the sale or purchase, as the case may
be, in so far as those obligations related to the consideration or the
settlement documents, were discharged before that time.
(3) Where:
- (a)
- because of a dealer having become insolvent on a particular
day, this Division entitles a person to make a claim (in this subsection
called the first claim ) in respect of property; and
- (b)
- because of a dealer having become insolvent on a later day, this Division
entitles a person to make another claim in respect of the property;
SEGC must not allow the other claim unless:
- (c)
- the person has made the first claim and SEGC has allowed or disallowed it;
or
- (d)
- the Board is satisfied that if the first claim had been made SEGC would
have disallowed it; or
- (e)
- the Board is satisfied that, when the person first became aware of the
dealer referred to in paragraph (b) having become insolvent on the later
day:
- (i)
- the first claim was barred; or
- (ii)
- it was no longer reasonably practicable for the person to make the first
claim before it became barred.
(4) Where:
- (a)
- at a particular time, SEGC allows a claim made by a person
under this Division in respect of property; and
- (b)
- because of:
- (i)
- a dealer having become insolvent (whether before, at or after that time);
and
- (ii)
- the property having, before that time, been entrusted or received as
mentioned in paragraph 963(1)(b);
this Division entitles the person to make another claim in respect of the
property;
SEGC must not allow the other claim.