An investigating authority may appoint one or more competent persons to investigate on its behalf—
if it appears to the investigating authority that it is in the interests of the participants or potential participants to do so or that the matter is of public concern.
A person appointed under subsection (1) to investigate the affairs of, or of the manager, trustee, operator or depositary of, any scheme (scheme "A"), may also, if he thinks it necessary for the purposes of that investigation, investigate—
If the person appointed to conduct an investigation under this section ("B") considers that a person ("C") is or may be able to give information which is relevant to the investigation, B may require C—
and it is C's duty to comply with that requirement.
Subsections (5) to (9) of section 170 apply if an investigating authority appoints a person under this section to conduct an investigation on its behalf as they apply in the case mentioned in subsection (1) of that section.
Section 174 applies to a statement made by a person in compliance with a requirement imposed under this section as it applies to a statement mentioned in that section.
Subsections (2) to (4) and (6) of section 175 and section 177 have effect as if this section were contained in Part XI.
Subsections (1) to (9) of section 176 apply in relation to a person appointed under subsection (1) as if—
No person may be required under this section to disclose information or produce a document in respect of which he owes an obligation of confidence by virtue of carrying on the business of banking unless subsection (9) or (10) applies.
This subsection applies if—
This subsection applies if the person owing the obligation of confidence or the person to whom it is owed is—
"Investigating authority" means the FCA or the Secretary of State.