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Amendment to Single Issuer Exemption for Broker-Dealers

SEC · final-rule · Published 2019-06-14 · Effective 2019-08-13 · 84 FR 27708

Document

Document number
2019-12563
Federal Register citation
84 FR 27708
CFR reference
17 CFR 240
Type
Rule
Action
Final rule.
Category
final-rule
Agency
US Securities and Exchange Commission
Publication date
2019-06-14
Effective date
2019-08-13
Docket
Release No. 34-86073

Abstract

The Commission is adopting an amendment to an exemptive provision in the broker-dealer annual reporting rule under the Securities Exchange Act of 1934 ("Exchange Act"). The exemption provides that a broker-dealer is not required to engage an independent public accountant to certify the broker-dealer's annual reports filed with the Commission if, among other things, the securities business of the broker-dealer has been limited to acting as broker (agent) for a single issuer in soliciting subscriptions for securities of that issuer.

Source

Authoritative
Federal Register document
Machine
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