[(1) This section applies to securities admitted to trading on a regulated market.
(2) If the [FCA] has reasonable grounds for suspecting that an applicable transparency obligation has been infringed by an issuer, it may—
(a) suspend trading in the securities for a period not exceeding 10 days,
(b) prohibit trading in the securities, or
(c) make a request to the operator of the market on which the issuer's securities are traded—
(i) to suspend trading in the securities for a period not exceeding 10 days, or
(ii) to prohibit trading in the securities.
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