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Sen. Lakesia Collins
Filed: 3/18/2025
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| 1 | | AMENDMENT TO SENATE BILL 1975
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| 2 | | AMENDMENT NO. ______. Amend Senate Bill 1975 by replacing |
| 3 | | everything after the enacting clause with the following: |
| 4 | | "Section 5. The Illinois Securities Law of 1953 is amended |
| 5 | | by changing Sections 5, 6, 7, 11, and 18.1 as follows: |
| 6 | | (815 ILCS 5/5) (from Ch. 121 1/2, par. 137.5) |
| 7 | | Sec. 5. Registration of Securities. All securities except |
| 8 | | those set forth under Section 2a of this Act, or those exempt |
| 9 | | under Section 3 of this Act, or those offered or sold in |
| 10 | | transactions exempt under Section 4 of this Act, or face |
| 11 | | amount certificate contracts required to be registered under |
| 12 | | Section 6 of this Act, or investment fund shares required to be |
| 13 | | registered under Section 7 of this Act, shall be registered |
| 14 | | either by coordination or by qualification, as hereinafter in |
| 15 | | this Section provided, prior to their offer or sale in this |
| 16 | | State. |
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| 1 | | A. Registration by Coordination. |
| 2 | | (1) Securities which are being or have been registered |
| 3 | | under the Federal 1933 Act may be registered by |
| 4 | | coordination in the manner provided in this subsection A, |
| 5 | | if the effective date of the registration under the |
| 6 | | Federal 1933 Act is not more than 30 days before the filing |
| 7 | | with the Secretary of State. |
| 8 | | (2) Securities may be registered by coordination by |
| 9 | | the filing with the Secretary of State by the issuer, by a |
| 10 | | controlling person or by a registered dealer of: |
| 11 | | (a) One copy of the registration statement |
| 12 | | (without exhibits) descriptive of the securities on |
| 13 | | file with the Securities and Exchange Commission in |
| 14 | | its most recent form as of the date of the initial |
| 15 | | filing under this subsection A.; |
| 16 | | (b) An application, in such form and executed, |
| 17 | | verified, or authenticated by such person as the |
| 18 | | Secretary of State shall by rule or regulation |
| 19 | | prescribe, setting forth the title and the total |
| 20 | | amount of securities to be offered, the amount of |
| 21 | | securities and the proposed maximum aggregate price |
| 22 | | thereof to be offered in this State under this |
| 23 | | subsection A and, if the applicant is electing the |
| 24 | | date of effectiveness of a post-effective amendment as |
| 25 | | its effective date as provided in Section 2.13 of this |
| 26 | | Act, specifying such date as the effective date for |
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| 1 | | purposes of registration under this subsection A; |
| 2 | | (c) An undertaking to forward to the Secretary of |
| 3 | | State, in writing (which may be by electronic or |
| 4 | | facsimile transmission), any and all subsequent |
| 5 | | amendments of and supplements to the registration |
| 6 | | statement not later than the 7th day after the |
| 7 | | forwarding thereof to the Securities and Exchange |
| 8 | | Commission, or such longer period as the Secretary of |
| 9 | | State may permit by rule, regulation or order; and |
| 10 | | (d) If the applicant is not a registered dealer, |
| 11 | | the name of at least one registered dealer for the |
| 12 | | securities being registered under this subsection A |
| 13 | | (except that, in the case of securities being offered |
| 14 | | and sold on a delayed or continuous basis pursuant to |
| 15 | | Rule 415 under the Federal 1933 Act, 17 C.F.R. Section |
| 16 | | 230.415, or any similar or successor rule thereto as |
| 17 | | may be designated by the Secretary of State by rule or |
| 18 | | regulation, the name of the registered dealer may be |
| 19 | | furnished no later than the close of business on the |
| 20 | | second business day following the commencement of |
| 21 | | sales of the registered securities in this State) or a |
| 22 | | written statement setting forth the method of offer |
| 23 | | and sale in this State of the securities being |
| 24 | | registered in compliance with Section 8 of this Act. |
| 25 | | (3) Registration of securities by coordination shall |
| 26 | | take effect automatically as of the effective date of the |
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| 1 | | registration statement (or post-effective amendment) filed |
| 2 | | under the Federal 1933 Act, provided that on the effective |
| 3 | | date, the information required by sub-paragraphs (a), (b), |
| 4 | | and (d) and the undertaking required by sub-paragraph (c) |
| 5 | | of paragraph (2) of this subsection A have been on file |
| 6 | | with the Secretary of State for at least 10 business days, |
| 7 | | or such shorter period as the Secretary of State may |
| 8 | | permit by rule, regulation or order. If, however, the time |
| 9 | | period referred to in the preceding sentence shall not |
| 10 | | have expired on the effective date of the registration |
| 11 | | statement (or post-effective amendment) filed under the |
| 12 | | Federal 1933 Act, registration of such securities by |
| 13 | | coordination shall, upon the expiration of such time |
| 14 | | period, take effect automatically as of the effective date |
| 15 | | of the registration statement (or post-effective |
| 16 | | amendment) filed under the Federal 1933 Act. |
| 17 | | (4) If the information required by sub-paragraphs (a), |
| 18 | | (b), and (d) and the undertaking required by sub-paragraph |
| 19 | | (c) of paragraph (2) of this subsection A are not filed |
| 20 | | with the Secretary of State prior to the effective date of |
| 21 | | the registration statement (or post-effective amendment) |
| 22 | | filed under the Federal 1933 Act, any registration of |
| 23 | | securities by coordination under this subsection A shall |
| 24 | | take effect automatically as soon as all of the following |
| 25 | | conditions have been satisfied: |
| 26 | | (a) the information required by sub-paragraphs |
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| 1 | | (a), (b), and (d) and the undertaking required by |
| 2 | | sub-paragraph (c) of paragraph (2) of this subsection |
| 3 | | A have been on file with the Secretary of State for 10 |
| 4 | | business days, or for such shorter period as the |
| 5 | | Secretary of State may permit by rule, regulation or |
| 6 | | order; |
| 7 | | (b) the registration statement or post-effective |
| 8 | | amendment filed under the Federal 1933 Act is then in |
| 9 | | effect; and |
| 10 | | (c) the prospectus then on file with the Secretary |
| 11 | | of State satisfies the requirements of Section |
| 12 | | 10(a)(3) of the Federal 1933 Act. |
| 13 | | (5) The applicant shall furnish to the Secretary of |
| 14 | | State written notice (which may be by electronic or |
| 15 | | facsimile transmission) confirming the date of |
| 16 | | effectiveness and the title of the securities registered |
| 17 | | under the Federal 1933 Act, final pricing information, the |
| 18 | | total amount of securities registered under the Federal |
| 19 | | 1933 Act, and the amount registered in this State if |
| 20 | | different than the amounts then on file with the Secretary |
| 21 | | of State, no later than the close of business on the second |
| 22 | | business day following the date on which the registration |
| 23 | | statement becomes effective under the Federal 1933 Act. |
| 24 | | (6) No action by the Secretary of State shall be |
| 25 | | necessary to evidence the effectiveness of the |
| 26 | | registration by coordination under this subsection A. The |
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| 1 | | Secretary of State may, at his or her discretion, provide |
| 2 | | a statement attesting to such registration, which |
| 3 | | statement shall be in such form as the Secretary of State |
| 4 | | may deem appropriate. |
| 5 | | (7) Notwithstanding the foregoing, the issuer, |
| 6 | | controlling person or registered dealer who filed the |
| 7 | | application set forth in subparagraph (b) of paragraph (2) |
| 8 | | of this subsection A may request, in writing (which may be |
| 9 | | by electronic or facsimile transmission) prior to or upon |
| 10 | | notice of effectiveness under the Federal 1933 Act, a |
| 11 | | waiver of automatic effectiveness of the registration of |
| 12 | | securities and the Secretary of State may, at his or her |
| 13 | | discretion, grant such waiver of automatic effectiveness. |
| 14 | | Upon the grant by the Secretary of State of the request of |
| 15 | | waiver of automatic effectiveness, such registration of |
| 16 | | securities shall become effective automatically on the |
| 17 | | date that the issuer, controlling person or registered |
| 18 | | dealer who filed the application set forth in subparagraph |
| 19 | | (b) of paragraph (2) of this subsection A notifies the |
| 20 | | Secretary of State in writing. |
| 21 | | B. Registration by Qualification. Securities may be |
| 22 | | registered by qualification in the manner provided in this |
| 23 | | subsection B. |
| 24 | | (1) An application for registration by qualification |
| 25 | | shall be made by the issuer, by a controlling person or by |
| 26 | | a registered dealer together with the examination fee |
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| 1 | | established pursuant to Section 11a of this Act, which is |
| 2 | | not returnable in any event. Such application shall be |
| 3 | | executed, verified, or authenticated by the applicant and |
| 4 | | filed with the Secretary of State. The application shall |
| 5 | | set forth: |
| 6 | | (a) The name and address of the issuer; |
| 7 | | (b) The title and total amount of the securities |
| 8 | | to be offered; |
| 9 | | (c) The amount of the securities to be offered in |
| 10 | | this State; |
| 11 | | (d) The price at which the securities are to be |
| 12 | | offered, or the method by which such price is to be |
| 13 | | determined, provided that such price or method may be |
| 14 | | furnished by written notice (which may be by |
| 15 | | electronic or facsimile transmission) to the Secretary |
| 16 | | of State subsequent to the filing of the application |
| 17 | | but prior to registration of the securities under this |
| 18 | | Law; and |
| 19 | | (e) The aggregate underwriting commissions, |
| 20 | | remuneration or discount. |
| 21 | | (2) If the issuer, dealer, or controlling person has |
| 22 | | not filed a registration statement that is then in effect |
| 23 | | under the Federal 1933 Act, there shall be filed with the |
| 24 | | application: |
| 25 | | (a) (Blank); |
| 26 | | (b) (Blank); |
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| 1 | | (c) A copy of the indenture or other instrument, |
| 2 | | if any, under which the securities are to be or have |
| 3 | | been issued; |
| 4 | | (d) A specimen copy of the securities or a copy of |
| 5 | | the form of the instrument to evidence the securities; |
| 6 | | (e) An opinion of counsel as to the legality of the |
| 7 | | securities; |
| 8 | | (f) A copy of the underwriting and selling |
| 9 | | agreements, if any; |
| 10 | | (g) An undertaking to file promptly (no later than |
| 11 | | 2 business days after the occurrence of any event |
| 12 | | which requires a material change in the prospectus) |
| 13 | | with the Secretary of State all amendments of and |
| 14 | | supplements to the prospectus as theretofore filed |
| 15 | | under this subsection B, together with any additional |
| 16 | | information, document or undertaking which the |
| 17 | | Secretary of State, at his or her discretion, deems |
| 18 | | material, accompanied by the amendment filing fee |
| 19 | | established pursuant to Section 11a of this Act or, in |
| 20 | | lieu thereof, a notification in writing that all |
| 21 | | offers and sales of the securities have been suspended |
| 22 | | pending the filing with the Secretary of State of such |
| 23 | | amendment of or supplement to the prospectus; and |
| 24 | | (h) A written statement setting forth the name of |
| 25 | | at least one registered dealer for the securities |
| 26 | | being registered under this subsection B, or an |
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| 1 | | application for registration of a salesperson or a |
| 2 | | written statement setting forth the method of offer |
| 3 | | and sale in this State of the securities being |
| 4 | | registered in compliance with Section 8 of this Act. |
| 5 | | (3) In addition, there shall be filed with the |
| 6 | | application such additional information and material in |
| 7 | | such form as the Secretary of State may by rule, |
| 8 | | regulation or order prescribe and a prospectus which |
| 9 | | contains but is not limited to the following: |
| 10 | | (a) The date and form of organization of the |
| 11 | | issuer; |
| 12 | | (b) A brief description of the business conducted |
| 13 | | and intended to be conducted by the issuer and by its |
| 14 | | subsidiaries and the general development of such |
| 15 | | business during the past 5 years or such shorter |
| 16 | | period as the issuer and such subsidiaries may have |
| 17 | | been in existence; |
| 18 | | (c) The location and general character of the |
| 19 | | physical properties of the issuer and of its |
| 20 | | subsidiaries; |
| 21 | | (d) The authorized and issued capitalization of |
| 22 | | the issuer and a description of the securities being |
| 23 | | registered and of all authorized securities; |
| 24 | | (e) The proposed method of sale of the securities, |
| 25 | | the price thereof to the public or the method by which |
| 26 | | such price is to be computed, and the underwriting and |
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| 1 | | selling discounts and commissions; |
| 2 | | (f) The intended use by the issuer of the proceeds |
| 3 | | of the securities; |
| 4 | | (g) The names and addresses of all of the issuer's |
| 5 | | officers and directors, or persons performing similar |
| 6 | | functions, their business experience during the |
| 7 | | preceding 5 years and the remuneration paid to each by |
| 8 | | the issuer and its subsidiaries during the fiscal year |
| 9 | | last past and proposed to be paid for the then current |
| 10 | | fiscal year; |
| 11 | | (h) The names and addresses of all persons owning |
| 12 | | of record, and of all persons owning beneficially, to |
| 13 | | the extent known to the applicant, 10% or more of any |
| 14 | | class of equity securities of the issuer, and the |
| 15 | | percentage owned by each; |
| 16 | | (i) A brief description of any pending material |
| 17 | | legal proceeding, and of any material legal proceeding |
| 18 | | known to be contemplated by governmental authorities, |
| 19 | | involving the issuer or its subsidiaries; |
| 20 | | (j) The following financial statements of the |
| 21 | | issuer: |
| 22 | | (i) A balance sheet as of a date within |
| 23 | | 135 days prior to the date of submitting the |
| 24 | | application. If such balance sheet is not |
| 25 | | certified by an independent certified public |
| 26 | | accountant, the prospectus shall also contain |
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| 1 | | a balance sheet certified by an independent |
| 2 | | certified public accountant as of the close of |
| 3 | | the issuer's last fiscal year, unless such |
| 4 | | fiscal year ended within 135 days prior to the |
| 5 | | time of filing the application, in which case |
| 6 | | the certified balance sheet may be as of the |
| 7 | | end of the preceding fiscal year. |
| 8 | | (ii) An income statement for each of the |
| 9 | | issuer's 3 fiscal years (or for the period of |
| 10 | | existence of the issuer if less than 3 years) |
| 11 | | next preceding the date of the certified |
| 12 | | balance sheet and for the period, if any, |
| 13 | | between the date of the certified balance |
| 14 | | sheet and the date of the most recent balance |
| 15 | | sheet. Such statement shall be certified by an |
| 16 | | independent certified public accountant for |
| 17 | | the periods ending with the date of the |
| 18 | | certified balance sheet. |
| 19 | | (iii) An analysis of each surplus account |
| 20 | | of the issuer for each period for which an |
| 21 | | income statement is filed, certified by an |
| 22 | | independent certified public accountant for |
| 23 | | the periods for which certified income |
| 24 | | statements are filed. |
| 25 | | (iv) An analysis (which need not be |
| 26 | | certified to by independent certified public |
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| 1 | | accountants and which may be in narrative form |
| 2 | | if desired by the applicant) of all surplus |
| 3 | | accounts of the issuer for a period beginning |
| 4 | | on a date not less than 8 years prior to the |
| 5 | | date of the certified balance sheet required |
| 6 | | by the above sub-division (i) of this |
| 7 | | sub-paragraph (j), or from the date of the |
| 8 | | organization of the issuer, whichever is |
| 9 | | later, and ending on the day before the first |
| 10 | | day of the earliest period covered by the |
| 11 | | analysis of surplus accounts furnished |
| 12 | | pursuant to the above sub-division (iii) of |
| 13 | | this sub-paragraph (j); and |
| 14 | | (k) If the issuer owns more than 50% of the voting |
| 15 | | securities of one or more entities, there shall also |
| 16 | | be included in the prospectus either (i) like |
| 17 | | financial statements for each such entity, or (ii) |
| 18 | | like consolidated financial statements for the issuer |
| 19 | | and such entities; |
| 20 | | (l) Anything in sub-paragraphs (j) and (k) of this |
| 21 | | paragraph (3) to the contrary notwithstanding, the |
| 22 | | financial statements contained in the prospectus need |
| 23 | | not be certified by an independent certified public |
| 24 | | accountant if the securities being registered under |
| 25 | | this subsection B are covered by a Notification under |
| 26 | | Regulation A or an Offering Sheet under Regulation D |
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| 1 | | adopted pursuant to the Federal 1933 Act or any other |
| 2 | | regulation so adopted which the Secretary of State may |
| 3 | | by rule or regulation or by order determine to have |
| 4 | | filing or disclosure requirements substantially |
| 5 | | similar to such Regulation A or Regulation D unless |
| 6 | | the financial statements furnished pursuant to any |
| 7 | | such Federal regulation are required to be or are |
| 8 | | certified by an independent certified public |
| 9 | | accountant. |
| 10 | | (4) If the securities being registered under this |
| 11 | | subsection B are certificates of deposit, voting trust |
| 12 | | certificates, collateral-trust certificates, certificates |
| 13 | | of interest, fractional interests in oil, gas or other |
| 14 | | mineral rights of unincorporated issuers or like |
| 15 | | securities, the prospectus may omit such of the foregoing |
| 16 | | items in sub-paragraphs (a) through (k) of paragraph (3) |
| 17 | | of this subsection B, but shall include such pertinent |
| 18 | | information, as the Secretary of State may by rule, |
| 19 | | regulation or order prescribe; such prospectus shall |
| 20 | | contain a description of the properties and businesses |
| 21 | | from which such certificates, shares or interests derive |
| 22 | | value. |
| 23 | | (5) The Secretary of State may, upon written request |
| 24 | | by the applicant and where consistent with the protection |
| 25 | | of investors, permit the omission of one or more of the |
| 26 | | financial statements required by this subsection B or the |
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| 1 | | filing in substitution therefor of appropriate financial |
| 2 | | statements of comparable character or permit the omission |
| 3 | | of any of the information required by this subsection B. |
| 4 | | The Secretary of State may also by written notice require |
| 5 | | the filing of other financial statements or information in |
| 6 | | addition to, or in substitution for, the financial |
| 7 | | statements or information required by this subsection B in |
| 8 | | any case where such additional financial statements or |
| 9 | | information is necessary or appropriate for an adequate |
| 10 | | presentation of the financial condition of any issuer or |
| 11 | | otherwise required for fair disclosure respecting the |
| 12 | | business and property of any issuer. |
| 13 | | (6) The Secretary of State shall within a reasonable |
| 14 | | time examine the application and documents filed with him |
| 15 | | or her, and unless the Secretary of State makes a |
| 16 | | determination that the application and documents so filed |
| 17 | | do not conform to the requirements of this subsection B, |
| 18 | | or there is a proceeding pending under Section 11 of this |
| 19 | | Act, shall register the securities for offer and sale in |
| 20 | | this State under this subsection B. If the securities |
| 21 | | registered shall not have been sold and distributed at the |
| 22 | | expiration of a period of 6 months following the date of |
| 23 | | registration, the Secretary of State may require the |
| 24 | | filing of such current information concerning the |
| 25 | | securities and the issuer thereof as he or she may by rule, |
| 26 | | regulation or order prescribe. |
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| 1 | | (7) The Secretary of State is granted authority to |
| 2 | | create by rule or regulation a limited offering |
| 3 | | registration provision that furthers the objectives of |
| 4 | | compatibility with federal exemptions and uniformity among |
| 5 | | the states. The Secretary of State shall prescribe by rule |
| 6 | | or regulation the amount of the fees for examining and |
| 7 | | filing any documents required under this subparagraph, but |
| 8 | | each fee shall not be less than the minimum amount nor more |
| 9 | | than the maximum amount established under Section 11a of |
| 10 | | this Act and shall not be returnable in any event. |
| 11 | | C. Pending Application, Filing Fee and Oversales of |
| 12 | | Securities. |
| 13 | | (1) No application shall be deemed to be filed or |
| 14 | | pending and no securities covered by such application |
| 15 | | shall be deemed to be registered under subsection A of |
| 16 | | this Section 5 unless a filing fee has been paid. No |
| 17 | | application shall be deemed to be filed or pending and no |
| 18 | | securities covered by such application shall be deemed to |
| 19 | | be registered under subsection B of this Section 5 unless |
| 20 | | the examination fee and filing fee have been paid. The |
| 21 | | filing fee payable under the provisions of subsections A |
| 22 | | and B of this Section 5 shall be established by rule or |
| 23 | | regulation, but in no event shall the fee be less than the |
| 24 | | minimum amount nor more than the maximum amount of filing |
| 25 | | fee established pursuant to Section 11a of this Act, and |
| 26 | | in no case shall such fee be returnable. The "maximum |
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| 1 | | aggregate price" as used in subsection A of this Section 5 |
| 2 | | and in this subsection C shall be the applicant's bona |
| 3 | | fide estimate thereof, determined in the manner prescribed |
| 4 | | by the Secretary of State by rule or regulation. |
| 5 | | (2) If after an offering of securities is registered |
| 6 | | under this Section 5 (except for securities registered |
| 7 | | under subsection B of this Section 5 wherein the entire |
| 8 | | offering of securities was registered), the offeror sells |
| 9 | | or determines that it will sell, prior to the expiration |
| 10 | | of the period during which the offeror intends the |
| 11 | | registration of the securities together with any renewals |
| 12 | | thereof to remain in effect in this State, an amount of |
| 13 | | that offering in excess of the amount registered, the |
| 14 | | applicant may amend the registration and register the |
| 15 | | excess securities by filing an amended application and |
| 16 | | paying a filing fee equal to the difference between the |
| 17 | | initial filing fee paid and the filing fee which would |
| 18 | | have been paid under paragraph (1) of this subsection C |
| 19 | | for the entire amount registered together with an |
| 20 | | additional fee established pursuant to Section 11a of this |
| 21 | | Act. The fees shall not be returnable in any event. With |
| 22 | | respect to the excess securities being registered, the |
| 23 | | "maximum aggregate price" shall be the actual sales price |
| 24 | | of such securities. Upon receipt of such amended |
| 25 | | application, filing fee, and additional fee by the |
| 26 | | Secretary of State, registration of the excess securities |
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| 1 | | shall become effective retroactively to the date of the |
| 2 | | initial registration. |
| 3 | | D. Effective Period and Sales Reports. |
| 4 | | (1) A registration effected under Section 5 of this |
| 5 | | Act shall continue effective for a period of one year from |
| 6 | | the date of registration or renewal of registration unless |
| 7 | | sooner terminated by (1) suspension or revocation by the |
| 8 | | Secretary of State; or (2) the applicant filing with the |
| 9 | | Secretary of State an affidavit evidencing either that (a) |
| 10 | | the securities have been fully sold and distributed to the |
| 11 | | public or (b) that it is no longer desired to offer such |
| 12 | | securities in this State or (c) that such securities have |
| 13 | | become exempt from the registration requirements under |
| 14 | | Section 3 or paragraph (1) of subsection F of Section 4 of |
| 15 | | this Act. |
| 16 | | (2) The Secretary of State may, at his or her |
| 17 | | discretion, require each issuer, controlling person or |
| 18 | | registered dealer on whose behalf a registration of |
| 19 | | securities is effected under this Section 5 to file a |
| 20 | | report, in such form and of such content and for such time |
| 21 | | period as the Secretary of State may by rule or regulation |
| 22 | | prescribe, stating the aggregate dollar amount of |
| 23 | | securities sold to Illinois residents. The civil remedies |
| 24 | | provided for in subsection A of Section 13 of this Act and |
| 25 | | the civil remedies of rescission and appointment of a |
| 26 | | receiver, conservator, ancillary receiver or ancillary |
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| 1 | | conservator provided for in subsection I of Section 11 and |
| 2 | | in subsection F and G of Section 13 of this Act and the |
| 3 | | civil remedies of restitution, damages and disgorgement of |
| 4 | | profits provided for in subsection I of Section 11 of this |
| 5 | | Act shall not be available against any person by reason of |
| 6 | | the failure to file any such report or on account of the |
| 7 | | contents of any such report. |
| 8 | | E. Renewal of Registration. A registration of securities |
| 9 | | in effect under subsection A of this Section 5 or subsection B |
| 10 | | of this Section 5 if a registration statement or |
| 11 | | post-effective amendment is then in effect under the Federal |
| 12 | | 1933 Act may be renewed for the amount of securities which |
| 13 | | remain unsold under such registration as then in effect, by |
| 14 | | the issuer, by a controlling person or by a registered dealer |
| 15 | | by filing an application for renewal with the Secretary of |
| 16 | | State no later than 10 business days prior to the date (or such |
| 17 | | lesser period as the Secretary of State may prescribe by rule |
| 18 | | or regulation) upon which such registration would otherwise |
| 19 | | expire, in such form and executed, verified, or authenticated |
| 20 | | by such person as the Secretary of State shall prescribe by |
| 21 | | rule or regulation. Such application shall be accompanied by a |
| 22 | | prospectus in its most current form together with a renewal |
| 23 | | fee equal in amount to a registration fee calculated in |
| 24 | | accordance with paragraph (1) of subsection C of this Section |
| 25 | | 5 and based upon the amount of securities initially registered |
| 26 | | for sale in this State but which remain unsold; except that the |
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| 1 | | "maximum aggregate price" of such securities shall be the |
| 2 | | applicant's bona fide estimate thereof at the time the |
| 3 | | application for renewal of registration is filed with the |
| 4 | | Secretary of State pursuant to this subsection E. A renewal of |
| 5 | | registration of securities shall take effect as of the date |
| 6 | | and time that the prior registration under subsection A of |
| 7 | | this Section 5 or prior renewal under this subsection E would |
| 8 | | otherwise have expired and thereafter shall be deemed to be a |
| 9 | | new registration of the amount of unsold securities specified |
| 10 | | in the application for renewal. The Secretary of State may by |
| 11 | | rule or regulation prescribe an additional fee for the failure |
| 12 | | to file timely an application for renewal and limit the number |
| 13 | | of times that a registration may be renewed. |
| 14 | | F. The applicant or registrant shall notify the Secretary |
| 15 | | of State, by written notice (which may be by electronic or |
| 16 | | facsimile transmission), within 2 business days after its |
| 17 | | receipt of any stop order, denial, order to show cause, |
| 18 | | suspension or revocation order, injunction or restraining |
| 19 | | order, or similar order entered or issued by any state, |
| 20 | | federal or other regulatory authority or by any court, |
| 21 | | concerning the securities which are being or have been |
| 22 | | registered in this State or any other securities of the issuer |
| 23 | | currently being or proposed to be offered to the public, if the |
| 24 | | matter which is the subject of, or the failure to disclose the |
| 25 | | existence of, such order would in this State constitute a |
| 26 | | violation of subsection E, F, G, H, I or J of Section 12 of |
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| 1 | | this Act. The obligation contained in this subsection F shall |
| 2 | | continue until such time as offers and sales of the securities |
| 3 | | registered under this Section 5 are no longer being made in |
| 4 | | this State by the applicant or registrant. |
| 5 | | G. Any document being filed pursuant to this Section 5 |
| 6 | | shall be deemed filed, and any fee being paid pursuant to this |
| 7 | | Section 5 shall be deemed paid, upon the date of actual receipt |
| 8 | | thereof by the Secretary of State. |
| 9 | | H. The Secretary of State may require by rule or |
| 10 | | regulation the payment of an additional fee for the filing of |
| 11 | | information or documents required to be filed by this Section |
| 12 | | 5 which have not been filed in a timely manner. Such fees shall |
| 13 | | be deposited into the Securities Audit and Enforcement Fund |
| 14 | | Securities Investors Education Fund, a special fund hereby |
| 15 | | created in the State treasury. The amounts deposited into such |
| 16 | | Fund shall be used to promote public awareness of the dangers |
| 17 | | of securities fraud. |
| 18 | | (Source: P.A. 89-209, eff. 1-1-96; 89-626, eff. 8-9-96; 90-70, |
| 19 | | eff. 7-8-97.) |
| 20 | | (815 ILCS 5/6) (from Ch. 121 1/2, par. 137.6) |
| 21 | | Sec. 6. Registration of Face Amount Certificate Contracts. |
| 22 | | All face amount certificate contracts except those set forth |
| 23 | | under Section 2a of this Act, or those exempt under Section 3 |
| 24 | | of this Act, or those offered or sold in transactions exempt |
| 25 | | under Section 4 of this Act, shall be registered either by |
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| 1 | | coordination or by qualification, as hereinafter in this |
| 2 | | Section provided, prior to their offer or sale in this State. |
| 3 | | A. Registration of Face Amount Certificate Contracts by |
| 4 | | Coordination. |
| 5 | | (1) Face amount certificate contracts which are being |
| 6 | | or have been registered under the Federal 1933 Act may be |
| 7 | | registered by coordination in the manner provided in this |
| 8 | | subsection A, if the effective date of the registration |
| 9 | | under the Federal 1933 Act is not more than 30 days before |
| 10 | | the filing with the Secretary of State. |
| 11 | | (2) Face amount certificate contracts may be |
| 12 | | registered by coordination by the filing with the |
| 13 | | Secretary of State by the issuer, by a controlling person |
| 14 | | or by a registered dealer of: |
| 15 | | (a) One copy of the registration statement |
| 16 | | (without exhibits) descriptive of the face amount |
| 17 | | certificate contracts on file with the Securities and |
| 18 | | Exchange Commission in its most recent form as of the |
| 19 | | date of the initial filing under this subsection A; |
| 20 | | (b) An application, in such form and executed, |
| 21 | | verified, or authenticated by such person as the |
| 22 | | Secretary of State shall by rule or regulation |
| 23 | | prescribe, setting forth the title of every series, |
| 24 | | type or class of face amount certificate contracts to |
| 25 | | be offered in this State under this subsection A and, |
| 26 | | if the applicant is electing the date of effectiveness |
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| 1 | | of a post-effective amendment as its effective date as |
| 2 | | provided in Section 2.13 of this Act, specifying such |
| 3 | | date as the effective date for purposes of |
| 4 | | registration under this subsection A; |
| 5 | | (c) An undertaking to forward to the Secretary of |
| 6 | | State, in writing (which may be by electronic or |
| 7 | | facsimile transmission), any and all subsequent |
| 8 | | amendments of and supplements to the registration |
| 9 | | statement not later than the 7th day after the |
| 10 | | forwarding thereof to the Securities and Exchange |
| 11 | | Commission, or such longer period as the Secretary of |
| 12 | | State may permit by rule, regulation or order; and |
| 13 | | (d) If the applicant is not a registered dealer, |
| 14 | | the name of at least one registered dealer for the face |
| 15 | | amount certificate contracts being registered under |
| 16 | | this subsection A or a written statement setting forth |
| 17 | | the method of offer and sale in this State of the face |
| 18 | | amount certificate contracts being registered in |
| 19 | | compliance with Section 8 of this Act. |
| 20 | | (3) Registration of face amount certificate contracts |
| 21 | | by coordination shall take effect automatically as of the |
| 22 | | effective date of the registration statement (or |
| 23 | | post-effective amendment) filed under the Federal 1933 |
| 24 | | Act, provided that on the effective date, the information |
| 25 | | required by sub-paragraphs (a), (b), and (d) and the |
| 26 | | undertaking required by sub-paragraph (c) of paragraph (2) |
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| 1 | | of this subsection A have been on file with the Secretary |
| 2 | | of State for at least 10 business days, or such shorter |
| 3 | | period as the Secretary of State may permit by rule, |
| 4 | | regulation or order. If, however, the time period referred |
| 5 | | to in the preceding sentence shall not have expired on the |
| 6 | | effective date of the registration statement (or |
| 7 | | post-effective amendment) filed under the Federal 1933 |
| 8 | | Act, registration of such face amount certificate |
| 9 | | contracts by coordination shall, upon the expiration of |
| 10 | | such time period, take effect automatically as of the |
| 11 | | effective date of the registration statement (or |
| 12 | | post-effective amendment) filed under the Federal 1933 |
| 13 | | Act. |
| 14 | | (4) If the information required by sub-paragraphs (a), |
| 15 | | (b), and (d) and the undertaking required by sub-paragraph |
| 16 | | (c) of paragraph (2) of this subsection A are not filed |
| 17 | | with the Secretary of State prior to the effective date of |
| 18 | | the registration statement (or post-effective amendment) |
| 19 | | filed under the Federal 1933 Act, any registration of face |
| 20 | | amount certificate contracts by coordination under this |
| 21 | | subsection A shall take effect automatically as soon as |
| 22 | | all of the following conditions have been satisfied: |
| 23 | | (a) the information required by sub-paragraphs |
| 24 | | (a), (b), and (d) and the undertaking required by |
| 25 | | sub-paragraph (c) of paragraph (2) of this subsection |
| 26 | | A have been on file with the Secretary of State for 10 |
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| 1 | | business days, or for such shorter period as the |
| 2 | | Secretary of State may permit by rule, regulation or |
| 3 | | order; |
| 4 | | (b) the registration statement or post-effective |
| 5 | | amendment filed under the Federal 1933 Act is then in |
| 6 | | effect; and |
| 7 | | (c) the prospectus then on file with the Secretary |
| 8 | | of State satisfies the requirements of Section |
| 9 | | 10(a)(3) of the Federal 1933 Act. |
| 10 | | (5) The applicant shall furnish to the Secretary of |
| 11 | | State written notice (which may be by electronic or |
| 12 | | facsimile transmission) confirming the date of |
| 13 | | effectiveness and the title of the face amount certificate |
| 14 | | contracts registered under the Federal 1933 Act, no later |
| 15 | | than the close of business on the second business day |
| 16 | | following the date on which registration becomes effective |
| 17 | | under the Federal 1933 Act. |
| 18 | | (6) No action by the Secretary of State shall be |
| 19 | | necessary to evidence the effectiveness of the |
| 20 | | registration by coordination under this subsection A. The |
| 21 | | Secretary of State may, at his or her discretion, provide |
| 22 | | a statement attesting to such registration, which |
| 23 | | statement shall be in such form as the Secretary of State |
| 24 | | may deem appropriate. |
| 25 | | (7) Notwithstanding the foregoing, the issuer, |
| 26 | | controlling person or registered dealer who filed the |
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| 1 | | application set forth in subparagraph (b) of paragraph (2) |
| 2 | | of this subsection A may request, in writing (which may be |
| 3 | | by electronic or facsimile transmission) prior to or upon |
| 4 | | notice of effectiveness under the Federal 1933 Act, a |
| 5 | | waiver of automatic effectiveness of the registration of |
| 6 | | the face amount certificate contracts and the Secretary of |
| 7 | | State may, at his or her discretion, grant such waiver of |
| 8 | | automatic effectiveness. Upon the grant by the Secretary |
| 9 | | of State of the request of waiver of automatic |
| 10 | | effectiveness, such registration of the face amount |
| 11 | | certificate contracts shall become effective automatically |
| 12 | | on the date that the issuer, controlling person or |
| 13 | | registered dealer who filed the application set forth in |
| 14 | | subparagraph (b) of paragraph (2) of this subsection A |
| 15 | | notifies the Secretary of State in writing. |
| 16 | | B. Registration of Face Amount Certificate Contracts by |
| 17 | | Qualification. Face amount certificate contracts may be |
| 18 | | registered by qualification in the manner provided in this |
| 19 | | subsection B. |
| 20 | | (1) An application for registration by qualification |
| 21 | | shall be made by the issuer, by a controlling person or by |
| 22 | | a registered dealer together with the examination fee |
| 23 | | established pursuant to Section 11a of the Act, which |
| 24 | | shall not be returnable in any event. Such application |
| 25 | | shall be executed, verified, or authenticated by the |
| 26 | | applicant and filed with the Secretary of State. The |
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| 1 | | application shall set forth: |
| 2 | | (a) The names and addresses of the persons |
| 3 | | creating or sponsoring the face amount certificate |
| 4 | | contracts; and |
| 5 | | (b) The title of each series, type or class of face |
| 6 | | amount certificate contracts to be offered. |
| 7 | | (2) If the issuer, dealer, or controlling person has |
| 8 | | not filed a registration statement or post-effective |
| 9 | | amendment which is then in effect under the Federal 1933 |
| 10 | | Act, there shall be filed with the application: |
| 11 | | (a) Specimen copies of each and every series, type |
| 12 | | or class of face amount certificate contract proposed |
| 13 | | to be offered in this State, and specimen copies of |
| 14 | | each and every form of face amount certificate |
| 15 | | contract or other security being issued or proposed to |
| 16 | | be offered and issued elsewhere; |
| 17 | | (b) (Blank); |
| 18 | | (c) (Blank); |
| 19 | | (d) An opinion of counsel as to the legality of the |
| 20 | | face amount certificate contracts; |
| 21 | | (e) An undertaking to file promptly (no later than |
| 22 | | 2 business days after the occurrence of any event |
| 23 | | which requires a material change in the prospectus) |
| 24 | | with the Secretary of State any and all amendments of |
| 25 | | and supplements to the prospectus as theretofore filed |
| 26 | | under this subsection B, together with any additional |
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| 1 | | information, document or undertaking which the |
| 2 | | Secretary of State at his or her discretion, deems |
| 3 | | material, accompanied by the amendment filing fee |
| 4 | | established pursuant to Section 11a of this Act or, in |
| 5 | | lieu thereof, a notification in writing that all |
| 6 | | offers and sales of the face amount certificate |
| 7 | | contracts have been suspended pending the filing with |
| 8 | | the Secretary of State of such amendment of or |
| 9 | | supplement to the prospectus; and |
| 10 | | (3) In addition, there shall be filed with the |
| 11 | | application such additional information and material in |
| 12 | | such form as the Secretary of State may by rule, |
| 13 | | regulation or order prescribe and a prospectus which |
| 14 | | contains, but is not limited to the following: |
| 15 | | (a) The date and form of organization of the |
| 16 | | issuer; |
| 17 | | (b) A brief description of the business conducted |
| 18 | | and intended to be conducted by the issuer and by its |
| 19 | | subsidiaries and the general development of such |
| 20 | | business during the past 5 years or such shorter |
| 21 | | period as the issuer and such subsidiaries may have |
| 22 | | been in existence; |
| 23 | | (c) The location and general character of the |
| 24 | | physical properties of the issuer and of its |
| 25 | | subsidiaries; |
| 26 | | (d) A complete description of the terms and |
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| 1 | | conditions of each and every series, type or class of |
| 2 | | face amount certificate contracts being issued or |
| 3 | | proposed to be offered in this State or elsewhere, |
| 4 | | which description shall include appropriate tables of |
| 5 | | initial or periodic installment payments required of |
| 6 | | the purchaser, surrender or liquidation values, |
| 7 | | maturity values, optional plans of extended contract |
| 8 | | periods and schedules of annuity payments which may be |
| 9 | | elected by a face amount certificate contract holder; |
| 10 | | (e) A schedule of all types of deductions which |
| 11 | | may be made from plan payments or the income therefrom |
| 12 | | or the avails thereof as charges prior to |
| 13 | | distributions to holders of the face amount |
| 14 | | certificate contracts; |
| 15 | | (f) The names and addresses of all of the issuer's |
| 16 | | officers and directors, or persons performing similar |
| 17 | | functions, their business experience during the |
| 18 | | preceding 5 years and the remuneration paid to each by |
| 19 | | the issuer and its subsidiaries during the fiscal year |
| 20 | | last past and proposed to be paid for the then current |
| 21 | | fiscal year; |
| 22 | | (g) The names and addresses of all persons owning |
| 23 | | of record, and of all persons owning beneficially, to |
| 24 | | the extent known to the applicant, 10% or more of any |
| 25 | | class of equity securities of the issuer, and the |
| 26 | | percentage owned by each; |
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| 1 | | (h) A brief description of any pending material |
| 2 | | legal proceeding, and of any material legal proceeding |
| 3 | | known to be contemplated by governmental authorities, |
| 4 | | involving the issuer or its subsidiaries; and |
| 5 | | (i) The following financial statements of the |
| 6 | | issuer: |
| 7 | | (i) a balance sheet as of a date within 135 |
| 8 | | days prior to the date application for |
| 9 | | registration is received by the Secretary of |
| 10 | | State, which balance sheet, if not certified by an |
| 11 | | independent certified public accountant, shall be |
| 12 | | accompanied by a certified balance sheet of the |
| 13 | | issuer as of the close of the last prior fiscal |
| 14 | | year; |
| 15 | | (ii) a detailed statement of income and |
| 16 | | expenses, including income from investments, |
| 17 | | service fees, loading and other sources, operating |
| 18 | | expenses and provisions for contract reserves or |
| 19 | | any additional credits to contract liabilities, |
| 20 | | profits realized and losses sustained in |
| 21 | | transactions in investments, and all other charges |
| 22 | | to operations, for a period of not less than 3 |
| 23 | | fiscal years (or for the period of existence of |
| 24 | | the issuer if less than 3 years) last preceding |
| 25 | | the date of the balance sheet presented under |
| 26 | | subdivision (i) of this subparagraph (i), which |
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| 1 | | statement of income and expenses, if not certified |
| 2 | | by an independent certified public accountant, |
| 3 | | shall be accompanied by a certified statement of |
| 4 | | income and expenses for a period of 3 years last |
| 5 | | preceding the uncertified period or periods |
| 6 | | presented as and for this subdivision (ii); |
| 7 | | (iii) a detailed analysis of each surplus and |
| 8 | | reserve account for the same period or periods |
| 9 | | covered by subdivision (ii) of this subparagraph |
| 10 | | (i), with like requirement for independent |
| 11 | | certification; and |
| 12 | | (iv) such other financial data as the |
| 13 | | Secretary of State may reasonably require in any |
| 14 | | specific case or by rule or regulation. |
| 15 | | (4) The Secretary of State shall within a reasonable |
| 16 | | time examine the application and related documents filed |
| 17 | | with him or her and, unless the Secretary of State makes a |
| 18 | | determination that the application and related documents |
| 19 | | so filed do not conform to the requirements of this |
| 20 | | subsection B or there is a proceeding pending under |
| 21 | | Section 11 of this Act, shall upon receipt of the deposit |
| 22 | | required by subsection G of this Section 6 and upon |
| 23 | | receipt of the registration fee as hereinafter prescribed, |
| 24 | | register the face amount certificate contracts, as |
| 25 | | described by series, type or class within the application, |
| 26 | | for offer and sale in this State under this subsection B. |
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| 1 | | C. Pending Application and Filing Fee. No application for |
| 2 | | registration of face amount certificate contracts shall be |
| 3 | | deemed to be filed or pending and no face amount certificate |
| 4 | | contracts covered by such application shall be deemed to be |
| 5 | | registered under subsection A of this Section 6 unless a |
| 6 | | filing fee in the amount established pursuant to Section 11a |
| 7 | | of this Act has been paid, which shall not be returnable in any |
| 8 | | event. No application for registration of face amount |
| 9 | | certificate contracts shall be deemed to be filed or pending |
| 10 | | and no face amount certificate contracts covered by such |
| 11 | | application shall be deemed to be registered under subsection |
| 12 | | B of this Section 6 unless the examination fee and filing fee |
| 13 | | established pursuant to Section 11a of this Act have been |
| 14 | | paid, which fees shall not be returnable in any event. |
| 15 | | D. Effective Period and Sales Reports. |
| 16 | | (1) A registration under subsection A or B of this |
| 17 | | Section 6, unless sooner terminated by the voluntary |
| 18 | | action of the issuer, or by suspension or revocation by |
| 19 | | the Secretary of State, shall continue in force and effect |
| 20 | | for a period of one year from the date of registration or |
| 21 | | renewal of registration or such other period of time as |
| 22 | | the Secretary of State may prescribe by rule or |
| 23 | | regulation, and shall permit the offer and sale of face |
| 24 | | amount certificate contracts so registered without |
| 25 | | limitation as to number or aggregate amount during such |
| 26 | | period of registration; provided, however, that, in the |
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| 1 | | case of face amount certificate contracts registered under |
| 2 | | subsection B of this Section 6, the issuer shall promptly |
| 3 | | file with the Secretary of State, throughout such |
| 4 | | registration year, (i) one specimen copy of each monthly, |
| 5 | | quarterly, semi-annual or other periodic or special report |
| 6 | | and of each financial statement distributed to contract |
| 7 | | holders; (ii) one certified copy of all statements and |
| 8 | | reports filed with any regulatory authority or agency of |
| 9 | | the Federal Government which relate to the issuer or the |
| 10 | | issuance of the securities registered pursuant to this |
| 11 | | Section 6 and (iii) one copy of each independently |
| 12 | | certified audit report pertaining to the financial affairs |
| 13 | | and position of the issuer covering the issuer's fiscal |
| 14 | | year ending during the registration year, to be supplied |
| 15 | | to the Secretary of State as soon as available after the |
| 16 | | close of the issuer's fiscal year. |
| 17 | | (2) The Secretary of State may, at his or her |
| 18 | | discretion, require each issuer, controlling person or |
| 19 | | registered dealer on whose behalf a registration of face |
| 20 | | amount certificate contracts is effective under this |
| 21 | | Section 6 to file a report, in such form and of such |
| 22 | | content and for such time period as the Secretary of State |
| 23 | | may by rule or regulation prescribe, stating the aggregate |
| 24 | | dollar amount of face amount certificate contracts sold to |
| 25 | | Illinois residents. The civil remedies provided for in |
| 26 | | subsection A of Section 13 of this Act and the civil |
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| 1 | | remedies of rescission and appointment of a receiver, |
| 2 | | conservator, ancillary receiver or ancillary conservator |
| 3 | | provided for in subsection I of Section 11 and in |
| 4 | | subsections F and G of Section 13 of this Act and the civil |
| 5 | | remedies of restitution, damages and disgorgement of |
| 6 | | profits provided for in subsection I of Section 11 of this |
| 7 | | Act shall not be available against any person by reason of |
| 8 | | the failure to file any such report or on account of the |
| 9 | | contents of any such report. |
| 10 | | E. Amendatory statements and required fees. The Secretary |
| 11 | | of State may by rule or regulation require the filing of an |
| 12 | | amendatory statement and prescribe its form and content. The |
| 13 | | fee for filing the statement shall be established pursuant to |
| 14 | | Section 11a of this Act. The fee shall not be returnable in any |
| 15 | | event. |
| 16 | | F. Renewal of Registration. A registration of face amount |
| 17 | | certificate contracts in effect under subsection A or B of |
| 18 | | this Section 6 may be renewed by the issuer by filing an |
| 19 | | application for renewal with the Secretary of State no later |
| 20 | | than 10 business days prior to the date upon which such |
| 21 | | registration would otherwise expire, (or such lesser period as |
| 22 | | the Secretary of State may prescribe by rule or regulation) in |
| 23 | | such form and executed, verified, or authenticated by such |
| 24 | | person as the Secretary of State shall prescribe by rule or |
| 25 | | regulation. Such application shall be accompanied by a |
| 26 | | prospectus in its most current form together with a renewal |
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| 1 | | fee established pursuant to Section 11a of this Act, which |
| 2 | | shall not be returnable in any event. A renewal of |
| 3 | | registration of face amount certificate contracts shall take |
| 4 | | effect as of the date and time that the prior registration |
| 5 | | under subsection A of this Section 6 or prior renewal under |
| 6 | | this subsection F would otherwise have expired and (or such |
| 7 | | alternative date as the Secretary of State may prescribe by |
| 8 | | rule or regulation) thereafter shall be deemed to be a new |
| 9 | | registration of the face amount certificate contracts covered |
| 10 | | thereby. The Secretary of State may by rule or regulation |
| 11 | | prescribe an additional fee for the failure to file timely an |
| 12 | | application for renewal and limit the number of times a |
| 13 | | registration may be renewed. |
| 14 | | G. Deposit of Securities. No face amount certificate |
| 15 | | contract shall be registered under subsection B of this |
| 16 | | Section 6 unless the issuer shall establish and maintain with |
| 17 | | the Secretary of State, for the benefit of the holders of such |
| 18 | | contracts residing in this State, a deposit of securities |
| 19 | | representing debt obligations of the kind in which life |
| 20 | | insurance companies organized under the laws of this State are |
| 21 | | permitted to invest their funds, in an amount having a fair |
| 22 | | market value of not less than $100,000 and at no time less than |
| 23 | | the current contract liability on all such face amount |
| 24 | | certificate contracts held by persons residing in this State, |
| 25 | | and provided further that deposited securities, other than |
| 26 | | those secured by entire first mortgage or trust deeds on |
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| 1 | | improved unencumbered real estate, are issued by an issuer |
| 2 | | required to file reports pursuant to Section 13 or 15(d) of the |
| 3 | | Federal 1934 Act or are covered by Section 12(g)(2)(B) or (G) |
| 4 | | of the Federal 1934 Act, or appear in current quotations in |
| 5 | | transactions on exchanges recognized by subsection G of |
| 6 | | Section 3 of this Act, and provided further, that bonds or |
| 7 | | notes secured by mortgages or trust deeds be limited to those |
| 8 | | (i) constituting the entire indebtedness secured thereby, (ii) |
| 9 | | establishing a first lien on improved real estate held in fee |
| 10 | | simple, and (iii) insured by the Federal Housing Administrator |
| 11 | | under an Act of Congress of the United States entitled |
| 12 | | "National Housing Act". Debentures issued by the Federal |
| 13 | | Housing Administrator under an Act of Congress of the United |
| 14 | | States entitled the "National Housing Act" may be included in |
| 15 | | the deposit prescribed by this subsection in amounts related |
| 16 | | to, and in substitution for, specific insured mortgage loans |
| 17 | | then included in the subject deposit which are in default, but |
| 18 | | at no time shall the aggregate principal amount of such |
| 19 | | debentures included in the subject deposit exceed 5% of the |
| 20 | | fair market value of securities comprising the subject |
| 21 | | deposit. The current contract liability in respect of |
| 22 | | contracts held by persons residing in this State shall be that |
| 23 | | as determined in such contracts as computed by the issuer and |
| 24 | | regularly certified to the Secretary of State, on or before |
| 25 | | the last day of each calendar month as of the close of the |
| 26 | | month last prior to the date of reporting. |
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| 1 | | Securities deposited as hereinabove required may be |
| 2 | | withdrawn by the depositor at any time, and from time to time, |
| 3 | | whenever other securities eligible for deposit and of a fair |
| 4 | | market value not less than that withdrawn are deposited in |
| 5 | | substitution for securities withdrawn. |
| 6 | | The Secretary of State may, upon receipt of appropriate |
| 7 | | certification in writing, deemed by the Secretary of State to |
| 8 | | be competent and adequate, evidencing the reduction of |
| 9 | | contract liability on contracts held by persons residing in |
| 10 | | this State to an aggregate amount representing not more than |
| 11 | | 90% of the fair market value of the securities then on deposit, |
| 12 | | permit an equivalent reduction in the deposited securities. |
| 13 | | H. Minimum Deposit; Annual Fee; Transaction Charge. The |
| 14 | | initial and continuing deposit required hereby shall, so long |
| 15 | | as the face amount certificate contracts registered under |
| 16 | | subsection B of this Section 6 are being offered and sold in |
| 17 | | this State, and until all contract liability on all contracts |
| 18 | | outstanding in this State has been discharged, include |
| 19 | | obligations of the United States or the State of Illinois in |
| 20 | | bearer form or fully registered, or registered as to |
| 21 | | principal, in the title of Treasurer of the State of Illinois, |
| 22 | | and his or her successors in office, in the minimum principal |
| 23 | | amount of $50,000. An issuer of face amount certificate |
| 24 | | contracts, in respect of which a deposit is required to be |
| 25 | | established and maintained under this Section 6, and an issuer |
| 26 | | of face amount certificate contracts heretofore qualified for |
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| 1 | | issuance to persons residing in this State under "An Act |
| 2 | | relating to the sale or other disposition of securities and |
| 3 | | providing penalties for the violation thereof and to repeal |
| 4 | | Acts in conflict therewith", approved June 10, 1919, as |
| 5 | | amended, and in respect of which a deposit of securities was |
| 6 | | established and has been maintained under the Act approved |
| 7 | | June 10, 1919, as cited above, shall pay to the Secretary of |
| 8 | | State an annual fee determined at the rate of 1/30th of one |
| 9 | | percent on the average of quarterly computations on the |
| 10 | | aggregate of principal amounts of market-quoted or listed |
| 11 | | securities and the original loan amounts of real estate loans |
| 12 | | insured by the Federal Housing Administrator, and in addition |
| 13 | | each such issuer shall pay to the Secretary of State, against |
| 14 | | quarterly billings therefor, a transaction charge in the |
| 15 | | amount established pursuant to Section 11a of this Act, which |
| 16 | | annual fee and transaction charge shall not be returnable in |
| 17 | | any event, for each separate issue or loan included in |
| 18 | | additions to and withdrawals from such deposits, provided |
| 19 | | however that the transaction charge established pursuant to |
| 20 | | Section 11a of this Act for each separate issue of |
| 21 | | market-quoted or listed securities shall apply to all the |
| 22 | | items of that issue included in a single transaction, |
| 23 | | regardless of the aggregate principal amount, and in respect |
| 24 | | of real estate loans such transaction charge shall apply to |
| 25 | | the group of documents pertaining to each separate loan, and |
| 26 | | not to the separate items and documents included in such |
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| 1 | | group. |
| 2 | | Nothing herein contained in respect of prescribed custody |
| 3 | | of deposited securities with the State Treasurer and of |
| 4 | | permissible procedures of liquidation of deposited securities |
| 5 | | by the Secretary of State in the event of insolvency of an |
| 6 | | issuer of face amount certificate contracts, or the |
| 7 | | appointment of a trustee in bankruptcy, shall preclude the |
| 8 | | surrender of deposited securities to a duly qualified trustee |
| 9 | | under appointment by a Court having jurisdiction under the |
| 10 | | Federal Bankruptcy Code under an appropriate order of such |
| 11 | | Court. |
| 12 | | I. Liquidation of Securities. Upon the insolvency of the |
| 13 | | issuer of face amount certificate contracts or appointment of |
| 14 | | a receiver or trustee in bankruptcy, the Secretary of State, |
| 15 | | if not required otherwise under Federal law or under an order |
| 16 | | of a Federal Court of competent jurisdiction, may apply to the |
| 17 | | Circuit Court of Sangamon County, or any other court of |
| 18 | | competent jurisdiction, for authority to proceed for the |
| 19 | | liquidation of such securities held for the benefit of the |
| 20 | | holders of such contracts who reside in this State. The |
| 21 | | Secretary of State is hereby authorized to deal with such |
| 22 | | securities on deposit in this State for the benefit of the |
| 23 | | holders of such face amount certificate contracts, in his or |
| 24 | | her name or, if the Court shall so order, in the name of the |
| 25 | | issuer. The Secretary of State may, subject to the approval of |
| 26 | | the Court, sell or otherwise dispose of the securities so |
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| 1 | | deposited or any part thereof. The Secretary of State shall as |
| 2 | | soon as may be conveniently possible, give notice by |
| 3 | | publication as provided by law, and as the Court may direct, to |
| 4 | | all contract holders residing in this State who may have |
| 5 | | claims against the issuer under such face amount certificate |
| 6 | | contracts and for whose benefit such deposit is held, to file |
| 7 | | and prove their claims in the manner and within the time the |
| 8 | | Court shall direct. In order to preserve so far as possible the |
| 9 | | rights and interests of the holders of outstanding contracts |
| 10 | | of such issuer who reside in this State, the Secretary of State |
| 11 | | may liquidate such securities on deposit in this State by |
| 12 | | entering into contracts with any issuer or person able to buy |
| 13 | | such securities in whole, or in part. Upon receiving an offer |
| 14 | | or offers for the purchase of such securities in whole, or in |
| 15 | | part, the Secretary of State shall submit such offer or offers |
| 16 | | to the Court, and if, after a full hearing upon the petition |
| 17 | | filed by the Secretary of State, the court shall find that the |
| 18 | | Secretary of State endeavored to obtain the best contract |
| 19 | | price for the benefit of the contract holders, and if the court |
| 20 | | shall find that the best contract price in the interests of the |
| 21 | | contract holders has been obtained, and that it is for the best |
| 22 | | interests of the holders of such contracts that such |
| 23 | | securities be sold, the court shall, by written order approve |
| 24 | | the acts of the Secretary of State and authorize him or her to |
| 25 | | dispose of such securities. Upon the conversion of such |
| 26 | | securities to cash, the Secretary of State may then proceed to |
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| 1 | | dispose of the sum received for such securities among the |
| 2 | | respective holders of such contracts as their interests may |
| 3 | | appear. Upon the liquidation and distribution of such funds, |
| 4 | | the Secretary of State may make proper liquidation of such |
| 5 | | securities and the distribution or disposition thereof or of |
| 6 | | the proceeds therefrom as herein provided. |
| 7 | | For the purpose of liquidation of such securities, the |
| 8 | | Secretary of State shall have the power to appoint one or more |
| 9 | | special deputies as his or her agent or agents and to employ |
| 10 | | such clerks, assistants or attorneys as may by him or her be |
| 11 | | deemed necessary and to give each of such persons such power to |
| 12 | | assist him or her as he or she may consider wise. The |
| 13 | | compensation of every such special deputy, agent, clerk, |
| 14 | | assistant or attorney shall be fixed, and all expenses of |
| 15 | | taking possession of such securities of the issuer and the |
| 16 | | administration thereof shall be approved, by the Secretary of |
| 17 | | State subject to the approval of the court and shall be paid |
| 18 | | out of the funds or assets received from the liquidation of |
| 19 | | such securities. |
| 20 | | J. The applicant or registrant shall notify the Secretary |
| 21 | | of State, by written notice (which may be by electronic or |
| 22 | | facsimile transmission), within 2 business days after its |
| 23 | | receipt of any stop order, denial, order to show cause, |
| 24 | | suspension or revocation order, injunction or restraining |
| 25 | | order, or similar order entered or issued by any state, |
| 26 | | federal or other regulatory authority or by any court, |
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| 1 | | concerning the face amount certificate contracts which are |
| 2 | | being or have been registered in this State or any other |
| 3 | | securities of the issuer currently being or proposed to be |
| 4 | | offered to the public, if the matter which is the subject of, |
| 5 | | or the failure to disclose the existence of, such order would |
| 6 | | in this State constitute a violation of subsection E, F, G, H, |
| 7 | | I or J of Section 12 of this Act. The obligation contained in |
| 8 | | this subsection J shall continue until such time as offers and |
| 9 | | sales of the face amount certificate contracts registered |
| 10 | | under this Section 6 are no longer being made in this State by |
| 11 | | the applicant or registrant. |
| 12 | | K. Any document being filed pursuant to this Section 6 |
| 13 | | shall be deemed filed, and any fee being paid pursuant to this |
| 14 | | Section 6 shall be deemed paid, upon the date of actual receipt |
| 15 | | thereof by the Secretary of State. |
| 16 | | L. The Secretary of State may require by rule or |
| 17 | | regulation the payment of an additional fee for the filing of |
| 18 | | information or documents required to be filed by this Section |
| 19 | | 6 which have not been filed in a timely manner. Such fees shall |
| 20 | | be deposited into the Securities Audit and Enforcement Fund |
| 21 | | Securities Investors Education Fund and used to promote public |
| 22 | | awareness of the dangers of securities fraud. |
| 23 | | (Source: P.A. 89-209, eff. 1-1-96; 90-70, eff. 7-8-97.) |
| 24 | | (815 ILCS 5/7) (from Ch. 121 1/2, par. 137.7) |
| 25 | | Sec. 7. Registration of Investment Fund Shares. All |
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| 1 | | investment fund shares except those set forth under Section 2a |
| 2 | | of this Act, or those exempt under Section 3 of this Act, or |
| 3 | | those offered or sold in transactions exempt under Section 4 |
| 4 | | of this Act, or face amount certificate contracts required to |
| 5 | | be registered under Section 6 of this Act, shall be registered |
| 6 | | either by coordination or by qualification, as hereinafter in |
| 7 | | this Section provided, prior to their offer or sale in this |
| 8 | | State. Additional classes of shares that are of the same rank, |
| 9 | | general description, and characteristics as those currently |
| 10 | | registered may be added to a current registration under this |
| 11 | | Section upon the filing of an amendment and the payment of the |
| 12 | | additional fees as prescribed by the Secretary of State by |
| 13 | | rule or regulation. Any change in organization or plans of |
| 14 | | operation shall be disclosed to the Secretary of State by |
| 15 | | filing an amendment to a current registration and the payment |
| 16 | | of the additional fees as prescribed by the Secretary of State |
| 17 | | by rule or regulation. |
| 18 | | A. Registration of Investment Fund Shares by Coordination. |
| 19 | | (1) Investment fund shares which are being or have |
| 20 | | been registered under the Federal 1933 Act and the Federal |
| 21 | | 1940 Investment Company Act may be registered by |
| 22 | | coordination in the manner provided in this subsection A, |
| 23 | | if the effective date of the registration under the |
| 24 | | Federal 1933 Act is not more than 30 days before the filing |
| 25 | | with the Secretary of State. |
| 26 | | (2) Investment fund shares may be registered by |
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| 1 | | coordination by the filing with the Secretary of State by |
| 2 | | the issuer, by a controlling person or by a registered |
| 3 | | dealer of: |
| 4 | | (a) One copy of the registration statement |
| 5 | | (without exhibits) descriptive of the investment fund |
| 6 | | shares on file with the Securities and Exchange |
| 7 | | Commission in its most recent form as of the date of |
| 8 | | the initial filing under this subsection A; |
| 9 | | (b) An application, in such form and executed, |
| 10 | | verified, or authenticated by such person as the |
| 11 | | Secretary of State shall by rule or regulation |
| 12 | | prescribe, setting forth the title of the investment |
| 13 | | fund shares to be offered in this State under this |
| 14 | | subsection A and, if the applicant is electing the |
| 15 | | date of effectiveness of a post-effective amendment as |
| 16 | | its effective date as provided in Section 2.13 of this |
| 17 | | Act, specifying such date as the effective date for |
| 18 | | purposes of registration under this subsection A; and |
| 19 | | (c) An undertaking to forward to the Secretary of |
| 20 | | State, in writing (which may be by electronic or |
| 21 | | facsimile transmission), any and all subsequent |
| 22 | | amendments of and supplements to the registration |
| 23 | | statement not later than the 7th day after the |
| 24 | | forwarding thereof to the Securities and Exchange |
| 25 | | Commission, or such longer period as the Secretary of |
| 26 | | State may permit by rule, regulation or order; and |
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| 1 | | (d) if the applicant is not a registered dealer, |
| 2 | | the name of at least one registered dealer for the |
| 3 | | investment fund shares being registered under this |
| 4 | | subsection A or a written statement setting forth the |
| 5 | | method of offer and sale in this State of the |
| 6 | | investment fund shares being registered in compliance |
| 7 | | with Section 8 of this Act. |
| 8 | | (3) Registration of investment fund shares by |
| 9 | | coordination shall take effect automatically as of the |
| 10 | | effective date of the registration statement (or |
| 11 | | post-effective amendment) filed under the Federal 1933 |
| 12 | | Act, provided that on the effective date, the information |
| 13 | | required by sub-paragraphs (a), (b), and (d) and the |
| 14 | | undertaking required by sub-paragraph (c) of paragraph (2) |
| 15 | | of this subsection A have been on file with the Secretary |
| 16 | | of State for at least 10 business days, or such shorter |
| 17 | | period as the Secretary of State may permit by rule, |
| 18 | | regulation or order. If, however, the time period referred |
| 19 | | to in the preceding sentence shall not have expired on the |
| 20 | | effective date of the registration statement (or |
| 21 | | post-effective amendment) filed under the Federal 1933 |
| 22 | | Act, registration of such investment fund shares by |
| 23 | | coordination shall, upon the expiration of such time |
| 24 | | period, take effect automatically as of the effective date |
| 25 | | of the registration statement (or post-effective |
| 26 | | amendment) filed under the Federal 1933 Act. |
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| 1 | | (4) If the information required by sub-paragraphs (a), |
| 2 | | (b), and (d) and the undertaking required by sub-paragraph |
| 3 | | (c) of paragraph (2) of this subsection A are not filed |
| 4 | | with the Secretary of State prior to the effective date of |
| 5 | | the registration statement (or post-effective amendment) |
| 6 | | filed under the Federal 1933 Act, any registration of |
| 7 | | investment fund shares by coordination under this |
| 8 | | subsection A shall take effect automatically as soon as |
| 9 | | all of the following conditions have been satisfied: |
| 10 | | (a) the information required by sub-paragraphs |
| 11 | | (a), (b), and (d) and the undertaking required by |
| 12 | | sub-paragraph (c) of paragraph (2) of this subsection |
| 13 | | A have been on file with the Secretary of State for 10 |
| 14 | | business days, or for such shorter period as the |
| 15 | | Secretary of State may permit by rule, regulation or |
| 16 | | order; |
| 17 | | (b) the registration statement or post-effective |
| 18 | | amendment filed under the Federal 1933 Act is then in |
| 19 | | effect; and |
| 20 | | (c) the prospectus then on file with the Secretary |
| 21 | | of State satisfies the requirements of Section |
| 22 | | 10(a)(3) of the Federal 1933 Act. |
| 23 | | (5) The applicant shall furnish to the Secretary of |
| 24 | | State written notice (which may be by electronic or |
| 25 | | facsimile transmission) confirming the date of |
| 26 | | effectiveness and the title of the investment fund shares |
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| 1 | | registered under the Federal 1933 Act, no later than the |
| 2 | | close of business on the second business day following the |
| 3 | | date on which registration statement becomes effective |
| 4 | | under the Federal 1933 Act. |
| 5 | | (6) No action by the Secretary of State shall be |
| 6 | | necessary to evidence the effectiveness of the |
| 7 | | registration by coordination under this subsection A. The |
| 8 | | Secretary of State may, at his or her discretion, provide |
| 9 | | a statement attesting to such registration, which |
| 10 | | statement shall be in such form as the Secretary of State |
| 11 | | may deem appropriate. |
| 12 | | (7) Notwithstanding the foregoing, the issuer, |
| 13 | | controlling person or registered dealer who filed the |
| 14 | | application set forth in subparagraph (b) of paragraph (2) |
| 15 | | of this subsection A may request, in writing (which may be |
| 16 | | by electronic or facsimile transmission) prior to or upon |
| 17 | | notice of effectiveness under the Federal 1933 Act, a |
| 18 | | waiver of automatic effectiveness of the registration of |
| 19 | | investment fund shares and the Secretary of State may, at |
| 20 | | his or her discretion, grant such waiver of automatic |
| 21 | | effectiveness. Upon the grant by the Secretary of State of |
| 22 | | the request of waiver of automatic effectiveness, such |
| 23 | | registration of investment fund shares shall become |
| 24 | | effective automatically on the date that the issuer, |
| 25 | | controlling person or registered dealer who filed the |
| 26 | | application set forth in subparagraph (b) of paragraph (2) |
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| 1 | | of this subsection A notifies the Secretary of State in |
| 2 | | writing. |
| 3 | | B. Registration of Investment Fund Shares by |
| 4 | | Qualification. Investment fund shares may be registered by |
| 5 | | qualification in the manner provided in this subsection B. |
| 6 | | (1) An application for registration by qualification |
| 7 | | shall be made by the issuer, by a controlling person or by |
| 8 | | a registered dealer together with the examination fee |
| 9 | | established pursuant to Section 11a of the Act, which |
| 10 | | shall not be returnable in any event. Such application |
| 11 | | shall be signed, verified, or authenticated by the |
| 12 | | applicant and filed with the Secretary of State. The |
| 13 | | application shall set forth: |
| 14 | | (a) The name and address of the issuer; |
| 15 | | (b) The title of the investment fund shares; and |
| 16 | | (c) The names and addresses of the persons |
| 17 | | creating or sponsoring the investment fund shares. |
| 18 | | (2) If the issuer, dealer, or controlling person has |
| 19 | | not filed a registration statement or post-effective |
| 20 | | amendment which is then in effect under the Federal 1933 |
| 21 | | Act, there shall be filed with the application: |
| 22 | | (a) A specimen copy of the investment fund shares, |
| 23 | | if any, or a copy of the form of the instrument to |
| 24 | | evidence the investment fund shares, if any; |
| 25 | | (b) (Blank); |
| 26 | | (c) (Blank); |
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| 1 | | (d) An opinion of counsel as to the legality of the |
| 2 | | investment fund shares; |
| 3 | | (e) An undertaking to file promptly (not later |
| 4 | | than 2 business days after the occurrence of any event |
| 5 | | which requires a material change in the prospectus) |
| 6 | | with the Secretary of State any and all amendments of |
| 7 | | and supplements to the prospectus as theretofore filed |
| 8 | | under this subsection B, together with any additional |
| 9 | | information, document or undertaking which the |
| 10 | | Secretary of State, at his or her discretion, deems |
| 11 | | material, accompanied by the amendment filing fee |
| 12 | | established pursuant to Section 11a of this Act or, in |
| 13 | | lieu thereof, a notification in writing that all |
| 14 | | offers and sales of the investment fund shares have |
| 15 | | been suspended pending the filing with the Secretary |
| 16 | | of State of the amendment of or supplement to the |
| 17 | | prospectus; |
| 18 | | (f) A written statement setting forth the name of |
| 19 | | at least one registered dealer for the investment fund |
| 20 | | shares being registered under this subsection B or an |
| 21 | | application for registration of a salesperson or a |
| 22 | | written statement setting forth the method of offer |
| 23 | | and sale in this State of the investment fund shares |
| 24 | | being registered in compliance with Section 8 of this |
| 25 | | Act. |
| 26 | | (3) In addition, there shall be filed with the |
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| 1 | | application such additional information and material in |
| 2 | | such form as the Secretary of State may by rule, |
| 3 | | regulation or order prescribe and a prospectus which |
| 4 | | contains, but is not limited to the following: |
| 5 | | (a) The date and form of organization of the fund |
| 6 | | or trust; |
| 7 | | (b) The authorized and issued capitalization of |
| 8 | | the fund or trust and a description of the investment |
| 9 | | fund shares being registered and of all authorized |
| 10 | | securities; |
| 11 | | (c) A schedule of the types of deductions which |
| 12 | | may be made from the trust or corporate or fund assets |
| 13 | | and the income therefrom or the avails thereof as |
| 14 | | charges prior to distribution to holders of the |
| 15 | | investment fund shares; |
| 16 | | (d) The names and addresses of all of the fund's or |
| 17 | | trust's officers and directors, or persons performing |
| 18 | | similar functions, their business experience during |
| 19 | | the preceding 5 years and the remuneration paid to |
| 20 | | each by the fund or trust or any affiliate thereof |
| 21 | | during the fiscal year last past and proposed to be |
| 22 | | paid for the then current fiscal year; |
| 23 | | (e) A brief description of any pending material |
| 24 | | legal proceeding, and of any material legal proceeding |
| 25 | | known to be contemplated by governmental authorities |
| 26 | | involving the fund or trust; |
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| 1 | | (f) A statement of the plan of operation, |
| 2 | | management policies and provisions and restrictions in |
| 3 | | respect of investment and reinvestment of principal |
| 4 | | funds and undistributed income therefrom; |
| 5 | | (g) A statement of the plan and intention in |
| 6 | | respect of distributions of ordinary income and |
| 7 | | capital gains, which statement shall disclose the |
| 8 | | taking of adequate measures for specific separation |
| 9 | | and identification of distributions arising from |
| 10 | | ordinary income and those arising from profits |
| 11 | | realized from the disposition of securities; |
| 12 | | (h) Specimen computations illustrating typical |
| 13 | | applications of the formulae to be used in determining |
| 14 | | asset value, offering price and liquidating price of |
| 15 | | the investment fund shares; and |
| 16 | | (i) The following financial statements in respect |
| 17 | | of the issuer if the investment fund shares represent |
| 18 | | shares of an issuing corporation, or in respect of the |
| 19 | | trust fund, if the investment fund shares represent |
| 20 | | beneficial interests in a trust fund: |
| 21 | | (i) a balance sheet as of a date within 135 |
| 22 | | days prior to the date of submitting the |
| 23 | | application. If such balance sheet is not |
| 24 | | certified by an independent certified public |
| 25 | | accountant, the prospectus shall also contain a |
| 26 | | balance sheet certified by an independent |
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| 1 | | certified public accountant as of the close of the |
| 2 | | fund's last fiscal year, unless such fiscal year |
| 3 | | ended within 135 days prior to the time of filing |
| 4 | | the application, in which case the certified |
| 5 | | balance sheet may be as of the end of the preceding |
| 6 | | fiscal year; |
| 7 | | (ii) a detailed statement of income and |
| 8 | | expenses and of profits realized and losses |
| 9 | | sustained from the sale of securities for each of |
| 10 | | the three fiscal years (or for the period of |
| 11 | | existence of the issuer if less than 3 years) next |
| 12 | | preceding the date of the certified balance sheet |
| 13 | | and for the period, if any, between the date of the |
| 14 | | certified balance sheet and the date of the most |
| 15 | | recent balance sheet. Such statements shall be |
| 16 | | certified by an independent certified public |
| 17 | | accountant for the periods ending with the date of |
| 18 | | the certified balance sheet; |
| 19 | | (iii) an analysis of each surplus account (or, |
| 20 | | in lieu thereof, a statement of changes in net |
| 21 | | assets) for each period for which a statement of |
| 22 | | income and expenses is filed, certified by an |
| 23 | | independent certified public accountant for the |
| 24 | | periods for which certified statements of income |
| 25 | | and expenses are submitted; and |
| 26 | | (iv) such other financial statements and |
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| 1 | | supporting schedules as the Secretary of State may |
| 2 | | by rule or regulation prescribe. |
| 3 | | (4) The Secretary of State may make or cause to be made |
| 4 | | an examination of matters pertaining to the investment |
| 5 | | fund shares as to which registration is sought under this |
| 6 | | subsection B and the persons creating, sponsoring or |
| 7 | | having general charge of the distribution of the |
| 8 | | investment fund shares, or any of them, and may require |
| 9 | | the applicant to advance sufficient funds to defray all |
| 10 | | actual expenses of such examination. An itemized statement |
| 11 | | of such expenses shall be furnished to the applicant. |
| 12 | | (5) No investment fund shares shall be registered |
| 13 | | under this subsection B unless the underlying securities |
| 14 | | or cash are and are to be deposited and held under an |
| 15 | | appropriate agreement for the benefit of the holders of |
| 16 | | the investment fund shares with and by a trustee or |
| 17 | | custodian which is a clearing corporation, bank, trust |
| 18 | | company or member of a national securities exchange |
| 19 | | registered under the Federal 1934 Act, provided that any |
| 20 | | such bank or trust company shall have an aggregate |
| 21 | | capital, surplus and undivided profits of at least |
| 22 | | $2,000,000 and any such member of a national securities |
| 23 | | exchange shall have capital stock, additional paid-in |
| 24 | | capital and retained earnings of at least $2,000,000 if a |
| 25 | | corporation or partnership capital of at least $2,000,000 |
| 26 | | if a partnership and further provided that any such member |
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| 1 | | of a national securities exchange shall comply with the |
| 2 | | provisions of the Federal 1940 Investment Company Act and |
| 3 | | the rules and regulations of the Securities and Exchange |
| 4 | | Commission promulgated under that Act relating to the |
| 5 | | custody of the underlying securities of investment funds. |
| 6 | | (6) The Secretary of State shall within a reasonable |
| 7 | | time examine the application and documents filed with him |
| 8 | | or her and may make such additional examination pursuant |
| 9 | | to paragraph (4) of this subsection B as he or she may deem |
| 10 | | appropriate, and unless the Secretary of State makes a |
| 11 | | determination that the application and documents so filed |
| 12 | | do not conform to the requirements of this subsection B, |
| 13 | | or there is a proceeding pending under Section 11 of this |
| 14 | | Act, the Secretary of State shall register the investment |
| 15 | | fund shares for offer and sale in this State under this |
| 16 | | subsection B. |
| 17 | | C. Pending Application and Filing Fee. No application for |
| 18 | | registration of investment fund shares shall be deemed to be |
| 19 | | filed or pending and no investment fund shares covered by such |
| 20 | | application shall be deemed to be registered under subsection |
| 21 | | A of this Section 7 unless a filing fee in the amount |
| 22 | | established pursuant to Section 11a of this Act has been paid, |
| 23 | | which fee shall not be returnable in any event. No application |
| 24 | | shall be deemed to be filed or pending and no investment fund |
| 25 | | shares covered by such application shall be deemed to be |
| 26 | | registered under subsection B of this Section 7 unless the |
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| 1 | | examination fee and filing fee established pursuant to Section |
| 2 | | 11a of this Act have been paid, which fees shall not be |
| 3 | | returnable in any event. |
| 4 | | D. Amendatory statements and required fees. The Secretary |
| 5 | | of State may by rule or regulation require the filing of an |
| 6 | | amendatory statement and prescribe its form and content. The |
| 7 | | fee for filing the statement shall be established pursuant to |
| 8 | | Section 11a of this Act. The fee shall not be returnable in any |
| 9 | | event. |
| 10 | | E. Discontinuance of Registration. An amendatory statement |
| 11 | | or statements may be submitted by the applicant at any time, |
| 12 | | and from time to time, when it is desired to discontinue |
| 13 | | registration in respect of one or more classes, series, or |
| 14 | | portfolios and if the Secretary of State shall find that such |
| 15 | | discontinuance is not against the public interest, such |
| 16 | | amendatory statement or statements shall be filed by the |
| 17 | | Secretary of State without charge, but such discontinuance of |
| 18 | | registration shall not entitle the applicant to any refund of |
| 19 | | any fees previously paid in respect of such discontinued class |
| 20 | | or classes, series, or portfolios. |
| 21 | | F. Effective Period and Sales Reports. |
| 22 | | (1) A registration of investment fund shares under |
| 23 | | this Section 7, unless sooner terminated by the voluntary |
| 24 | | action of the applicant or by action of the Secretary of |
| 25 | | State under Section 11 hereof, shall continue in force and |
| 26 | | effect for a period of one year from the date of |
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| 1 | | registration or renewal of registration (or such other |
| 2 | | period of time as the Secretary of State may prescribe by |
| 3 | | rule or regulation or order), without limitation as to |
| 4 | | number of shares or aggregate amount; provided, however, |
| 5 | | that in the case of investment fund shares registered |
| 6 | | under subsection B of this Section 7, the issuer which has |
| 7 | | no registration statement then in effect under the Federal |
| 8 | | 1933 Act and the Federal 1940 Investment Company Act shall |
| 9 | | promptly file with the Secretary of State throughout such |
| 10 | | registration period, one copy of each monthly, quarterly, |
| 11 | | semi-annual, annual or other periodic report and financial |
| 12 | | statement sent to holders of its outstanding investment |
| 13 | | fund shares, and one copy of each statement and report |
| 14 | | relating to such investment fund shares filed with any |
| 15 | | regulatory authority or agency of the Federal Government. |
| 16 | | (2) The Secretary of State may, at his or her |
| 17 | | discretion, require each issuer, controlling person or |
| 18 | | registered dealer on whose behalf a registration of |
| 19 | | investment fund shares is effected under this Section 7 to |
| 20 | | file a report, in such form and of such content and for |
| 21 | | such time period as the Secretary of State may by rule or |
| 22 | | regulation prescribe, stating the aggregate dollar amount |
| 23 | | of investment fund shares sold to Illinois residents. The |
| 24 | | civil remedies provided for in subsection A of Section 13 |
| 25 | | of this Act and the civil remedies of rescission and |
| 26 | | appointment of a receiver, conservator, ancillary receiver |
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| 1 | | or ancillary conservator provided for in subsection I of |
| 2 | | Section 11 and in subsections F and G of Section 13 of this |
| 3 | | Act and the civil remedies of restitution, damages and |
| 4 | | disgorgement of profits provided for in subsection I of |
| 5 | | Section 11 of this Act shall not be available against any |
| 6 | | person by reason of the failure to file any such report or |
| 7 | | on account of the contents of any such report. |
| 8 | | G. Renewal of Registration. A registration of investment |
| 9 | | fund shares in effect under subsection A or B of this Section 7 |
| 10 | | may be renewed by the issuer by filing an application for |
| 11 | | renewal of registration with the Secretary of State no later |
| 12 | | than 10 business days prior to the date upon which such |
| 13 | | registration would otherwise expire or such lesser period as |
| 14 | | the Secretary of State may prescribe by rule or regulation, in |
| 15 | | such form and executed, verified, or authenticated by such |
| 16 | | person as the Secretary of State shall prescribe by rule or |
| 17 | | regulation. Such application shall be accompanied by a |
| 18 | | prospectus in its most current form together with a renewal |
| 19 | | fee established pursuant to Section 11a of this Act, which |
| 20 | | shall not be returnable in any event. A renewal of |
| 21 | | registration of securities shall take effect as of the date |
| 22 | | and time that the prior registration under subsection A of |
| 23 | | this Section 7 or prior renewal under this paragraph (1) would |
| 24 | | otherwise have expired (or such alternative date as the |
| 25 | | Secretary of State may prescribe by rule or regulation) and |
| 26 | | thereafter shall be deemed to be a new registration of the |
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| 1 | | investment fund shares covered thereby. The Secretary of State |
| 2 | | may by rule or regulation prescribe an additional fee for the |
| 3 | | failure to file timely an application for renewal and limit |
| 4 | | the number of times a registration may be renewed. |
| 5 | | H. The applicant or registrant shall notify the Secretary |
| 6 | | of State, by written notice (which may be by electronic or |
| 7 | | facsimile transmission), within 2 business days after its |
| 8 | | receipt of any stop order, denial, order to show cause, |
| 9 | | suspension or revocation order, injunction or restraining |
| 10 | | order, or similar order entered or issued by any state, |
| 11 | | federal or other regulatory authority or by any court, |
| 12 | | concerning the investment fund shares which are being or have |
| 13 | | been registered in this State or any other securities of the |
| 14 | | issuer currently being or proposed to be offered to the |
| 15 | | public, if the matter which is the subject of, or the failure |
| 16 | | to disclose the existence of, such order would in this State |
| 17 | | constitute a violation of subsection E, F, G, H, I or J of |
| 18 | | Section 12 of this Act. The obligation contained in this |
| 19 | | subsection H shall continue until such time as offers and |
| 20 | | sales of the investment fund shares registered under this |
| 21 | | Section 7 are no longer being made in this State by the |
| 22 | | applicant or registrant. |
| 23 | | I. Any document being filed pursuant to this Section 7 |
| 24 | | shall be deemed filed, and any fee being paid pursuant to this |
| 25 | | Section 7 shall be deemed paid, upon the date of actual receipt |
| 26 | | thereof by the Secretary of State. |
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| 1 | | J. The Secretary of State may require by rule or |
| 2 | | regulation the payment of an additional fee for the filing of |
| 3 | | information or documents required to be filed by this Section |
| 4 | | 7 which have not been filed in a timely manner. Such fees shall |
| 5 | | be deposited into the Securities Audit and Enforcement Fund |
| 6 | | Securities Investors Education Fund and use to promote public |
| 7 | | awareness of the dangers of securities fraud. |
| 8 | | (Source: P.A. 89-209, eff. 1-1-96; 89-626, eff. 8-9-96; 90-70, |
| 9 | | eff. 7-8-97.) |
| 10 | | (815 ILCS 5/11) (from Ch. 121 1/2, par. 137.11) |
| 11 | | Sec. 11. Duties and powers of the Secretary of State. |
| 12 | | A. (1) The administration of this Act is vested in the |
| 13 | | Secretary of State, who may from time to time make, amend and |
| 14 | | rescind such rules and regulations as may be necessary to |
| 15 | | carry out this Act, including rules and regulations governing |
| 16 | | procedures of registration, statements, applications and |
| 17 | | reports for various classes of securities, persons and matters |
| 18 | | within his or her jurisdiction and defining any terms, whether |
| 19 | | or not used in this Act, insofar as the definitions are not |
| 20 | | inconsistent with this Act. The rules and regulations adopted |
| 21 | | by the Secretary of State under this Act shall be effective in |
| 22 | | the manner provided for in the Illinois Administrative |
| 23 | | Procedure Act. |
| 24 | | (2) Among other things, the Secretary of State shall have |
| 25 | | authority, for the purposes of this Act, to prescribe the form |
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| 1 | | or forms in which required information shall be set forth, |
| 2 | | accounting practices, the items or details to be shown in |
| 3 | | balance sheets and earning statements, and the methods to be |
| 4 | | followed in the preparation of accounts, in the appraisal or |
| 5 | | valuation of assets and liabilities, in the determination of |
| 6 | | depreciation and depletion, in the differentiation of |
| 7 | | recurring and non-recurring income, in the differentiation of |
| 8 | | investment and operating income, and in the preparation of |
| 9 | | consolidated balance sheets or income accounts of any person, |
| 10 | | directly or indirectly, controlling or controlled by the |
| 11 | | issuer, or any person under direct or indirect common control |
| 12 | | with the issuer. |
| 13 | | (3) No provision of this Act imposing any liability shall |
| 14 | | apply to any act done or omitted in good faith in conformity |
| 15 | | with any rule or regulation of the Secretary of State under |
| 16 | | this Act, notwithstanding that the rule or regulation may, |
| 17 | | after the act or omission, be amended or rescinded or be |
| 18 | | determined by judicial or other authority to be invalid for |
| 19 | | any reason. |
| 20 | | (4) The Securities Department of the Office of the |
| 21 | | Secretary of State shall be deemed a criminal justice agency |
| 22 | | for purposes of all federal and state laws and regulations |
| 23 | | and, in that capacity, shall be entitled to access to any |
| 24 | | information available to criminal justice agencies and has the |
| 25 | | power to appoint special agents to conduct all investigations, |
| 26 | | searches, seizures, arrests, and other duties imposed under |
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| 1 | | the provisions of any law administered by the Department. The |
| 2 | | special agents have and may exercise all the powers of peace |
| 3 | | officers solely for the purpose of enforcing provisions of |
| 4 | | this Act. |
| 5 | | The Director must authorize to each special agent employed |
| 6 | | under this Section a distinct badge that, on its face, (i) |
| 7 | | clearly states that the badge is authorized by the Department |
| 8 | | and (ii) contains a unique and identifying number. |
| 9 | | Special agents shall comply with all training requirements |
| 10 | | established for law enforcement officers by provisions of the |
| 11 | | Illinois Police Training Act. |
| 12 | | (5) The Secretary of State, by rule, may conditionally or |
| 13 | | unconditionally exempt any person, security, or transaction, |
| 14 | | or any class or classes of persons, securities, or |
| 15 | | transactions from any provision of Section 5, 6, 7, 8, 8a, or 9 |
| 16 | | of this Act or of any rule promulgated under these Sections, to |
| 17 | | the extent that such exemption is necessary or appropriate in |
| 18 | | the public interest, and is consistent with the protection of |
| 19 | | investors. |
| 20 | | B. The Secretary of State may, anything in this Act to the |
| 21 | | contrary notwithstanding, require financial statements and |
| 22 | | reports of the issuer, dealer, Internet portal, salesperson, |
| 23 | | investment adviser, or investment adviser representative as |
| 24 | | often as circumstances may warrant. In addition, the Secretary |
| 25 | | of State may secure information or books and records from or |
| 26 | | through others and may make or cause to be made investigations |
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| 1 | | respecting the business, affairs, and property of the issuer |
| 2 | | of securities, any person involved in the sale or offer for |
| 3 | | sale, purchase or offer to purchase of any mineral investment |
| 4 | | contract, mineral deferred delivery contract, or security and |
| 5 | | of dealers, Internet portals, salespersons, investment |
| 6 | | advisers, and investment adviser representatives that are |
| 7 | | registered or are the subject of an application for |
| 8 | | registration under this Act. The costs of an investigation |
| 9 | | shall be borne by the registrant or the applicant, provided |
| 10 | | that the registrant or applicant shall not be obligated to pay |
| 11 | | the costs without his, her or its consent in advance. |
| 12 | | C. Whenever it shall appear to the Secretary of State, |
| 13 | | either upon complaint or otherwise, that this Act, or any rule |
| 14 | | or regulation prescribed under authority thereof, has been or |
| 15 | | is about to be violated, he or she may, in his or her |
| 16 | | discretion, do one or more of the following: |
| 17 | | (1) require or permit the person to file with the |
| 18 | | Secretary of State a statement in writing under oath, or |
| 19 | | otherwise, as to all the facts and circumstances |
| 20 | | concerning the subject matter which the Secretary of State |
| 21 | | believes to be in the public interest to investigate, |
| 22 | | audit, examine, or inspect; |
| 23 | | (2) conduct an investigation, audit, examination, or |
| 24 | | inspection as necessary or advisable for the protection of |
| 25 | | the interests of the public; and |
| 26 | | (3) appoint investigators to conduct all |
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| 1 | | investigations, searches, seizures, arrests, and other |
| 2 | | duties imposed under the provisions of any law |
| 3 | | administered by the Department. The Director must |
| 4 | | authorize to each investigator employed under this Section |
| 5 | | a distinct badge that, on its face, (i) clearly states |
| 6 | | that the badge is authorized by the Department and (ii) |
| 7 | | contains a unique and identifying number. |
| 8 | | D. (1) For the purpose of all investigations, audits, |
| 9 | | examinations, or inspections which in the opinion of the |
| 10 | | Secretary of State are necessary and proper for the |
| 11 | | enforcement of this Act, the Secretary of State or a person |
| 12 | | designated by him or her is empowered to administer oaths and |
| 13 | | affirmations, subpoena witnesses, take evidence, and require, |
| 14 | | by subpoena or other lawful means provided by this Act or the |
| 15 | | rules adopted by the Secretary of State, the production of any |
| 16 | | books and records, papers, or other documents which the |
| 17 | | Secretary of State or a person designated by him or her deems |
| 18 | | relevant or material to the inquiry. |
| 19 | | (2) The Secretary of State or a person designated by him or |
| 20 | | her is further empowered to administer oaths and affirmations, |
| 21 | | subpoena witnesses, take evidence, and require the production |
| 22 | | of any books and records, papers, or other documents in this |
| 23 | | State at the request of a securities agency of another state, |
| 24 | | if the activities constituting the alleged violation for which |
| 25 | | the information is sought would be in violation of Section 12 |
| 26 | | of this Act if the activities had occurred in this State. |
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| 1 | | (3) The Circuit Court of any County of this State, upon |
| 2 | | application of the Secretary of State or a person designated |
| 3 | | by him or her may order the attendance of witnesses, the |
| 4 | | production of books and records, papers, accounts and |
| 5 | | documents and the giving of testimony before the Secretary of |
| 6 | | State or a person designated by him or her; and any failure to |
| 7 | | obey the order may be punished by the Circuit Court as a |
| 8 | | contempt thereof. |
| 9 | | (4) The fees of subpoenaed witnesses under this Act for |
| 10 | | attendance and travel shall be the same as fees of witnesses |
| 11 | | before the Circuit Courts of this State, to be paid when the |
| 12 | | witness is excused from further attendance, provided, the |
| 13 | | witness is subpoenaed at the instance of the Secretary of |
| 14 | | State; and payment of the fees shall be made and audited in the |
| 15 | | same manner as other expenses of the Secretary of State. |
| 16 | | (5) Whenever a subpoena is issued at the request of a |
| 17 | | complainant or respondent as the case may be, the Secretary of |
| 18 | | State may require that the cost of service and the fee of the |
| 19 | | witness shall be borne by the party at whose instance the |
| 20 | | witness is summoned. |
| 21 | | (6) The Secretary of State shall have power at his or her |
| 22 | | discretion, to require a deposit to cover the cost of the |
| 23 | | service and witness fees and the payment of the legal witness |
| 24 | | fee and mileage to the witness served with subpoena. |
| 25 | | (7) A subpoena issued under this Act shall be served in the |
| 26 | | same manner as a subpoena issued out of a circuit court. |
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| 1 | | (8) The Secretary of State may in any investigation, |
| 2 | | audits, examinations, or inspections cause the taking of |
| 3 | | depositions of persons residing within or without this State |
| 4 | | in the manner provided in civil actions under the laws of this |
| 5 | | State. |
| 6 | | E. Anything in this Act to the contrary notwithstanding: |
| 7 | | (1) If the Secretary of State shall find that the |
| 8 | | offer or sale or proposed offer or sale or method of offer |
| 9 | | or sale of any securities by any person, whether exempt or |
| 10 | | not, in this State, is fraudulent, or would work or tend to |
| 11 | | work a fraud or deceit, or is being offered or sold in |
| 12 | | violation of Section 12, or there has been a failure or |
| 13 | | refusal to submit any notification filing or fee required |
| 14 | | under this Act, the Secretary of State may by written |
| 15 | | order prohibit or suspend the offer or sale of securities |
| 16 | | by that person or deny or revoke the registration of the |
| 17 | | securities or the exemption from registration for the |
| 18 | | securities. |
| 19 | | (2) If the Secretary of State shall find that any |
| 20 | | person has violated subsection C, D, E, F, G, H, I, J, or K |
| 21 | | of Section 12 of this Act, the Secretary of State may by |
| 22 | | written order temporarily or permanently prohibit or |
| 23 | | suspend the person from offering or selling any |
| 24 | | securities, any mineral investment contract, or any |
| 25 | | mineral deferred delivery contract in this State, provided |
| 26 | | that any person who is the subject of an order of permanent |
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| 1 | | prohibition may petition the Secretary of State for a |
| 2 | | hearing to present evidence of rehabilitation or change in |
| 3 | | circumstances justifying the amendment or termination of |
| 4 | | the order of permanent prohibition. |
| 5 | | (3) If the Secretary of State shall find that any |
| 6 | | person is engaging or has engaged in the business of |
| 7 | | selling or offering for sale securities as a dealer, |
| 8 | | Internet portal, or salesperson or is acting or has acted |
| 9 | | as an investment adviser, investment adviser |
| 10 | | representative, or federal covered investment adviser, |
| 11 | | without prior thereto and at the time thereof having |
| 12 | | complied with the registration or notice filing |
| 13 | | requirements of this Act, the Secretary of State may by |
| 14 | | written order prohibit or suspend the person from engaging |
| 15 | | in the business of selling or offering for sale |
| 16 | | securities, or acting as an investment adviser, investment |
| 17 | | adviser representative, or federal covered investment |
| 18 | | adviser, in this State. |
| 19 | | (4) In addition to any other sanction or remedy |
| 20 | | contained in this subsection E, the Secretary of State, |
| 21 | | after finding that any provision of this Act has been |
| 22 | | violated, may impose a fine as provided by rule, |
| 23 | | regulation or order not to exceed $10,000 for each |
| 24 | | violation of this Act, may issue an order of public |
| 25 | | censure against the violator, and may charge as costs of |
| 26 | | investigation all reasonable expenses, including |
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| 1 | | attorney's fees and witness fees. |
| 2 | | F. (1) The Secretary of State shall not deny, suspend or |
| 3 | | revoke the registration of securities, suspend or revoke the |
| 4 | | registration of a dealer, Internet portal, salesperson, |
| 5 | | investment adviser, or investment adviser representative, |
| 6 | | prohibit or suspend the offer or sale of any securities, |
| 7 | | prohibit or suspend any person from offering or selling any |
| 8 | | securities in this State, prohibit or suspend a dealer or |
| 9 | | salesperson from engaging in the business of selling or |
| 10 | | offering for sale securities, prohibit or suspend a person |
| 11 | | from acting as an investment adviser or federal covered |
| 12 | | investment adviser, or investment adviser representative, |
| 13 | | impose any fine for violation of this Act, issue an order of |
| 14 | | public censure, or enter into an agreed settlement except |
| 15 | | after an opportunity for hearing upon not less than 10 days |
| 16 | | notice given by personal service or registered mail or |
| 17 | | certified mail, return receipt requested, to the person or |
| 18 | | persons concerned. Such notice shall state the date and time |
| 19 | | and place of the hearing and shall contain a brief statement of |
| 20 | | the proposed action of the Secretary of State and the grounds |
| 21 | | for the proposed action. A failure to appear at the hearing or |
| 22 | | otherwise respond to the allegations set forth in the notice |
| 23 | | of hearing shall constitute an admission of any facts alleged |
| 24 | | therein and shall constitute sufficient basis to enter an |
| 25 | | order. |
| 26 | | (2) Anything herein contained to the contrary |
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| 1 | | notwithstanding, the Secretary of State may temporarily |
| 2 | | prohibit or suspend, for a maximum period of 90 days, by an |
| 3 | | order effective immediately, the offer or sale or registration |
| 4 | | of securities, the registration of a dealer, Internet portal, |
| 5 | | salesperson, investment adviser, or investment adviser |
| 6 | | representative, or the offer or sale of securities by any |
| 7 | | person, or the business of rendering investment advice, |
| 8 | | without the notice and prior hearing in this subsection |
| 9 | | prescribed, if the Secretary of State shall in his or her |
| 10 | | opinion, based on credible evidence, deem it necessary to |
| 11 | | prevent an imminent violation of this Act or to prevent losses |
| 12 | | to investors which the Secretary of State reasonably believes |
| 13 | | will occur as a result of a prior violation of this Act. |
| 14 | | Immediately after taking action without such notice and |
| 15 | | hearing, the Secretary of State shall deliver a copy of the |
| 16 | | temporary order to the respondent named therein by personal |
| 17 | | service or registered mail or certified mail, return receipt |
| 18 | | requested. The temporary order shall set forth the grounds for |
| 19 | | the action and shall advise that the respondent may request a |
| 20 | | hearing, that the request for a hearing will not stop the |
| 21 | | effectiveness of the temporary order and that respondent's |
| 22 | | failure to request a hearing within 30 days after the date of |
| 23 | | the entry of the temporary order shall constitute an admission |
| 24 | | of any facts alleged therein and shall constitute sufficient |
| 25 | | basis to make the temporary order final. Any provision of this |
| 26 | | paragraph (2) to the contrary notwithstanding, the Secretary |
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| 1 | | of State may not pursuant to the provisions of this paragraph |
| 2 | | (2) suspend the registration of a dealer, limited Canadian |
| 3 | | dealer, salesperson, investment adviser, or investment adviser |
| 4 | | representative based upon sub-paragraph (n) of paragraph (l) |
| 5 | | of subsection E of Section 8 of this Act or revoke the |
| 6 | | registration of securities or revoke the registration of any |
| 7 | | dealer, salesperson, investment adviser representative, or |
| 8 | | investment adviser. |
| 9 | | (3) The Secretary of State may issue a temporary order |
| 10 | | suspending or delaying the effectiveness of any registration |
| 11 | | of securities under subsection A or B of Section 5, 6 or 7 of |
| 12 | | this Act subsequent to and upon the basis of the issuance of |
| 13 | | any stop, suspension or similar order by the Securities and |
| 14 | | Exchange Commission with respect to the securities which are |
| 15 | | the subject of the registration under subsection A or B of |
| 16 | | Section 5, 6 or 7 of this Act, and the order shall become |
| 17 | | effective as of the date and time of effectiveness of the |
| 18 | | Securities and Exchange Commission order and shall be vacated |
| 19 | | automatically at such time as the order of the Securities and |
| 20 | | Exchange Commission is no longer in effect. |
| 21 | | (4) When the Secretary of State finds that an application |
| 22 | | for registration as a dealer, Internet portal, salesperson, |
| 23 | | investment adviser, or investment adviser representative |
| 24 | | should be denied, the Secretary of State may enter an order |
| 25 | | denying the registration. Immediately after taking such |
| 26 | | action, the Secretary of State shall deliver a copy of the |
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| 1 | | order to the respondent named therein by personal service or |
| 2 | | registered mail or certified mail, return receipt requested. |
| 3 | | The order shall state the grounds for the action and that the |
| 4 | | matter will be set for hearing upon written request filed with |
| 5 | | the Secretary of State within 30 days after the receipt of the |
| 6 | | request by the respondent. The respondent's failure to request |
| 7 | | a hearing within 30 days after receipt of the order shall |
| 8 | | constitute an admission of any facts alleged therein and shall |
| 9 | | make the order final. If a hearing is held, the Secretary of |
| 10 | | State shall affirm, vacate, or modify the order. |
| 11 | | (5) The findings and decision of the Secretary of State |
| 12 | | upon the conclusion of each final hearing held pursuant to |
| 13 | | this subsection shall be set forth in a written order signed on |
| 14 | | behalf of the Secretary of State by his or her designee and |
| 15 | | shall be filed as a public record. All hearings shall be held |
| 16 | | before a person designated by the Secretary of State, and |
| 17 | | appropriate records thereof shall be kept. |
| 18 | | (6) Notwithstanding the foregoing, the Secretary of State, |
| 19 | | after notice and opportunity for hearing, may at his or her |
| 20 | | discretion enter into an agreed settlement, stipulation or |
| 21 | | consent order with a respondent in accordance with the |
| 22 | | provisions of the Illinois Administrative Procedure Act. The |
| 23 | | provisions of the agreed settlement, stipulation or consent |
| 24 | | order shall have the full force and effect of an order issued |
| 25 | | by the Secretary of State. |
| 26 | | (7) Anything in this Act to the contrary notwithstanding, |
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| 1 | | whenever the Secretary of State finds that a person is |
| 2 | | currently expelled from, refused membership in or association |
| 3 | | with, or limited in any material capacity by a self-regulatory |
| 4 | | organization registered under the Federal 1934 Act or the |
| 5 | | Federal 1974 Act because of a fraudulent or deceptive act or a |
| 6 | | practice in violation of a rule, regulation, or standard duly |
| 7 | | promulgated by the self-regulatory organization, the Secretary |
| 8 | | of State may, at his or her discretion, enter a Summary Order |
| 9 | | of Prohibition, which shall prohibit the offer or sale of any |
| 10 | | securities, mineral investment contract, or mineral deferred |
| 11 | | delivery contract by the person in this State. The order shall |
| 12 | | take effect immediately upon its entry. Immediately after |
| 13 | | taking the action the Secretary of State shall deliver a copy |
| 14 | | of the order to the named Respondent by personal service or |
| 15 | | registered mail or certified mail, return receipt requested. A |
| 16 | | person who is the subject of an Order of Prohibition may |
| 17 | | petition the Secretary of State for a hearing to present |
| 18 | | evidence of rehabilitation or change in circumstances |
| 19 | | justifying the amendment or termination of the Order of |
| 20 | | Prohibition. |
| 21 | | G. No administrative action shall be brought by the |
| 22 | | Secretary of State for relief under this Act or upon or because |
| 23 | | of any of the matters for which relief is granted by this Act |
| 24 | | after the earlier to occur of (i) 3 years from the date upon |
| 25 | | which the Secretary of State had notice of facts which in the |
| 26 | | exercise of reasonable diligence would lead to actual |
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| 1 | | knowledge of the alleged violation of the Act, or (ii) 5 years |
| 2 | | from the date on which the alleged violation occurred. |
| 3 | | H. The action of the Secretary of State in denying, |
| 4 | | suspending, or revoking the registration of a dealer, Internet |
| 5 | | portal, limited Canadian dealer, salesperson, investment |
| 6 | | adviser, or investment adviser representative, in prohibiting |
| 7 | | any person from engaging in the business of offering or |
| 8 | | selling securities as a dealer, limited Canadian dealer, or |
| 9 | | salesperson, in prohibiting or suspending the offer or sale of |
| 10 | | securities by any person, in prohibiting a person from acting |
| 11 | | as an investment adviser, federal covered investment adviser, |
| 12 | | or investment adviser representative, in denying, suspending, |
| 13 | | or revoking the registration of securities, in prohibiting or |
| 14 | | suspending the offer or sale or proposed offer or sale of |
| 15 | | securities, in imposing any fine for violation of this Act, or |
| 16 | | in issuing any order shall be subject to judicial review in the |
| 17 | | Circuit Courts of Cook or Sangamon Counties in this State. The |
| 18 | | Administrative Review Law shall apply to and govern every |
| 19 | | action for the judicial review of final actions or decisions |
| 20 | | of the Secretary of State under this Act. |
| 21 | | I. Notwithstanding any other provisions of this Act to the |
| 22 | | contrary, whenever it shall appear to the Secretary of State |
| 23 | | that any person is engaged or about to engage in any acts or |
| 24 | | practices which constitute or will constitute a violation of |
| 25 | | this Act or of any rule or regulation prescribed under |
| 26 | | authority of this Act, the Secretary of State may at his or her |
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| 1 | | discretion, through the Attorney General take any of the |
| 2 | | following actions: |
| 3 | | (1) File a complaint and apply for a temporary |
| 4 | | restraining order without notice, and upon a proper |
| 5 | | showing the court may enter a temporary restraining order |
| 6 | | without bond, to enforce this Act. |
| 7 | | (2) File a complaint and apply for a preliminary or |
| 8 | | permanent injunction, and, after notice and a hearing and |
| 9 | | upon a proper showing, the court may grant a preliminary |
| 10 | | or permanent injunction and may order the defendant to |
| 11 | | make an offer of rescission with respect to any sales or |
| 12 | | purchases of securities, mineral investment contracts, or |
| 13 | | mineral deferred delivery contracts determined by the |
| 14 | | court to be unlawful under this Act. |
| 15 | | (3) Seek the seizure of assets when probable cause |
| 16 | | exists that the assets were obtained by a defendant |
| 17 | | through conduct in violation of Section 12, paragraph F, |
| 18 | | G, I, J, K, or L of this Act, and thereby subject to a |
| 19 | | judicial forfeiture hearing as required under this Act. |
| 20 | | (a) In the event that such probable cause exists |
| 21 | | that the subject of an investigation who is alleged to |
| 22 | | have committed one of the relevant violations of this |
| 23 | | Act has in his possession assets obtained as a result |
| 24 | | of the conduct giving rise to the violation, the |
| 25 | | Secretary of State may seek a seizure warrant in any |
| 26 | | circuit court in Illinois. |
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| 1 | | (b) In seeking a seizure warrant, the Secretary of |
| 2 | | State, or his or her designee, shall submit to the |
| 3 | | court a sworn affidavit detailing the probable cause |
| 4 | | evidence for the seizure, the location of the assets |
| 5 | | to be seized, the relevant violation under Section 12 |
| 6 | | of this Act, and a statement detailing any known |
| 7 | | owners or interest holders in the assets. |
| 8 | | (c) Seizure of the assets shall be made by any |
| 9 | | peace officer upon process of the seizure warrant |
| 10 | | issued by the court. Following the seizure of assets |
| 11 | | under this Act and pursuant to a seizure warrant, |
| 12 | | notice of seizure, including a description of the |
| 13 | | seized assets, shall immediately be returned to the |
| 14 | | issuing court. Seized assets shall be maintained |
| 15 | | pending a judicial forfeiture hearing in accordance |
| 16 | | with the instructions of the court. |
| 17 | | (d) In the event that management of seized assets |
| 18 | | becomes necessary to prevent the devaluation, |
| 19 | | dissipation, or otherwise to preserve the property, |
| 20 | | the court shall have jurisdiction to appoint a |
| 21 | | receiver, conservator, ancillary receiver, or |
| 22 | | ancillary conservator for that purpose, as provided in |
| 23 | | item (2) of this subsection. |
| 24 | | (4) Seek the forfeiture of assets obtained through |
| 25 | | conduct in violation of Section 12, paragraph F, G, H, I, |
| 26 | | J, K, or L when authorized by law. A forfeiture must be |
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| 1 | | ordered by a circuit court or an action brought by the |
| 2 | | Secretary of State as provided for in this Act, under a |
| 3 | | verified complaint for forfeiture. |
| 4 | | (a) In the event assets have been seized pursuant |
| 5 | | to this Act, forfeiture proceedings shall be |
| 6 | | instituted by the Attorney General within 45 days of |
| 7 | | seizure. |
| 8 | | (b) Service of the complaint filed under the |
| 9 | | provisions of this Act shall be made in the manner as |
| 10 | | provided in civil actions in this State. |
| 11 | | (c) Only an owner of or interest holder in the |
| 12 | | property may file an answer asserting a claim against |
| 13 | | the property. For purposes of this Section, the owner |
| 14 | | or interest holder shall be referred to as claimant. |
| 15 | | (d) The answer must be signed by the owner or |
| 16 | | interest holder under penalty of perjury and must set |
| 17 | | forth: |
| 18 | | (i) the caption of the proceedings as set |
| 19 | | forth on the notice of pending forfeiture and the |
| 20 | | name of the claimant; |
| 21 | | (ii) the address at which the claimant will |
| 22 | | accept mail; |
| 23 | | (iii) the nature and extent of the claimant's |
| 24 | | interest in the property; |
| 25 | | (iv) the date, identity of the transferor, and |
| 26 | | circumstances of the claimant's acquisition of the |
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| 1 | | interest in the property; |
| 2 | | (v) the names and addresses of all other |
| 3 | | persons known to have an interest in the property; |
| 4 | | (vi) the specific provisions of this Act |
| 5 | | relied on in asserting that the property is not |
| 6 | | subject to forfeiture; |
| 7 | | (vii) all essential facts supporting each |
| 8 | | assertion; and |
| 9 | | (viii) the precise relief sought. |
| 10 | | (e) The answer must be filed with the court within |
| 11 | | 45 days after service of the complaint. |
| 12 | | (f) A property interest is exempt from forfeiture |
| 13 | | under this Act if its owner or interest holder |
| 14 | | establishes by a preponderance of evidence that the |
| 15 | | owner or interest holder: |
| 16 | | (i) is not legally accountable for the conduct |
| 17 | | giving rise to the forfeiture, did not acquiesce |
| 18 | | in it, and did not know and could not reasonably |
| 19 | | have known of the conduct or that the conduct was |
| 20 | | likely to occur; |
| 21 | | (ii) with respect to conveyances, did not hold |
| 22 | | the property jointly or in common with a person |
| 23 | | whose conduct gave rise to the forfeiture; |
| 24 | | (iii) does not hold the property for the |
| 25 | | benefit of or as a nominee for any person whose |
| 26 | | conduct gave rise to its forfeiture and the owner |
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| 1 | | or interest holder acquires it as a bona fide |
| 2 | | purchaser for value without knowingly taking part |
| 3 | | in the conduct giving rise to the forfeiture; or |
| 4 | | (iv) acquired the interest after the |
| 5 | | commencement of the conduct giving rise to its |
| 6 | | forfeiture and the owner or interest holder |
| 7 | | acquired the interest as a mortgagee, secured |
| 8 | | creditor, lienholder, or bona fide purchaser for |
| 9 | | value without knowledge of the conduct that gave |
| 10 | | rise to the forfeiture. |
| 11 | | (g) The hearing must be held within 60 days after |
| 12 | | the answer is filed unless continued for good cause. |
| 13 | | (h) During the probable cause portion of the |
| 14 | | judicial in rem proceeding wherein the Secretary of |
| 15 | | State presents its case-in-chief, the court must |
| 16 | | receive and consider, among other things, any relevant |
| 17 | | hearsay evidence and information. The laws of evidence |
| 18 | | relating to civil actions shall apply to all other |
| 19 | | portions of the judicial in rem proceeding. |
| 20 | | (i) The Secretary of State shall show the |
| 21 | | existence of probable cause for forfeiture of the |
| 22 | | property. If the Secretary of State shows probable |
| 23 | | cause, the claimant has the burden of showing by a |
| 24 | | preponderance of the evidence that the claimant's |
| 25 | | interest in the property is not subject to forfeiture. |
| 26 | | (j) If the Secretary of State does not show the |
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| 1 | | existence of probable cause or a claimant has an |
| 2 | | interest that is exempt under subdivision I (4)(d) of |
| 3 | | this Section, the court shall order the interest in |
| 4 | | the property returned or conveyed to the claimant and |
| 5 | | shall order all other property forfeited to the |
| 6 | | Secretary of State pursuant to all provisions of this |
| 7 | | Act. If the Secretary of State does show the existence |
| 8 | | of probable cause and the claimant does not establish |
| 9 | | by a preponderance of the evidence that the claimant |
| 10 | | has an interest that is exempt under subsection D |
| 11 | | herein, the court shall order all the property |
| 12 | | forfeited to the Secretary of State pursuant to the |
| 13 | | provisions of the Section. |
| 14 | | (k) A defendant convicted in any criminal |
| 15 | | proceeding is precluded from later denying the |
| 16 | | essential allegations of the criminal offense of which |
| 17 | | the defendant was convicted in any proceeding for |
| 18 | | violations of the Act giving rise to forfeiture of |
| 19 | | property herein regardless of the pendency of an |
| 20 | | appeal from that conviction. However, evidence of the |
| 21 | | pendency of an appeal is admissible. |
| 22 | | (l) An acquittal or dismissal in a criminal |
| 23 | | proceeding for violations of the Act giving rise to |
| 24 | | the forfeiture of property herein shall not preclude |
| 25 | | civil proceedings under this provision; however, for |
| 26 | | good cause shown, on a motion by the Secretary of |
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| 1 | | State, the court may stay civil forfeiture proceedings |
| 2 | | during the criminal trial for a related criminal |
| 3 | | indictment or information alleging violation of the |
| 4 | | provisions of Section 12 of the Illinois Securities |
| 5 | | Law of 1953. Property subject to forfeiture under this |
| 6 | | Section shall not be subject to return or release by a |
| 7 | | court exercising jurisdiction over a criminal case |
| 8 | | involving the seizure of the property unless the |
| 9 | | return or release is consented to by the Secretary of |
| 10 | | State. |
| 11 | | (m) All property declared forfeited under this Act |
| 12 | | vests in the State on the commission of the conduct |
| 13 | | giving rise to forfeiture together with the proceeds |
| 14 | | of the property after that time. Any such property or |
| 15 | | proceeds subsequently transferred to any person remain |
| 16 | | subject to forfeiture and thereafter shall be ordered |
| 17 | | forfeited unless the transferee claims and establishes |
| 18 | | in a hearing under the provisions of this Act that the |
| 19 | | transferee's interest is exempt under the Act. Any |
| 20 | | assets forfeited to the State shall be disposed of in |
| 21 | | following manner: |
| 22 | | (i) all forfeited property and assets shall be |
| 23 | | liquidated by the Secretary of State in accordance |
| 24 | | with all laws and rules governing the disposition |
| 25 | | of such property; |
| 26 | | (ii) the Secretary of State shall provide the |
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| 1 | | court at the time the property and assets are |
| 2 | | declared forfeited a verified statement of |
| 3 | | investors subject to the conduct giving rise to |
| 4 | | the forfeiture; |
| 5 | | (iii) after payment of any costs of sale, |
| 6 | | receivership, storage, or expenses for |
| 7 | | preservation of the property seized, other costs |
| 8 | | to the State, and payment to claimants for any |
| 9 | | amount deemed exempt from forfeiture, the proceeds |
| 10 | | from liquidation shall be distributed pro rata to |
| 11 | | investors subject to the conduct giving rise to |
| 12 | | the forfeiture; and |
| 13 | | (iv) any proceeds remaining after all verified |
| 14 | | investors have been made whole shall be |
| 15 | | distributed 25% to the Securities Investors |
| 16 | | Education Fund, 25% to the Securities Audit and |
| 17 | | Enforcement Fund, 25% to the Attorney General or |
| 18 | | any State's Attorney bringing criminal charges for |
| 19 | | the conduct giving rise to the forfeiture, and 25% |
| 20 | | to other law enforcement agencies participating in |
| 21 | | the investigation of the criminal charges for the |
| 22 | | conduct giving rise to the forfeiture. In the |
| 23 | | event that no other law enforcement agencies are |
| 24 | | involved in the investigation of the conduct |
| 25 | | giving rise to the forfeiture, then the portion to |
| 26 | | other law enforcement agencies shall be |
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| 1 | | distributed to the Securities Investors Education |
| 2 | | Fund. |
| 3 | | Any additional fees established by administrative |
| 4 | | rule and collected by the Secretary of State pursuant |
| 5 | | to this subparagraph shall be deposited into the |
| 6 | | Securities Audit and Enforcement Fund. |
| 7 | | (n) The Secretary of State shall notify by |
| 8 | | certified mail, return receipt requested, all known |
| 9 | | investors in the matter giving rise to the forfeiture |
| 10 | | of the forfeiture proceeding and sale of assets |
| 11 | | forfeited arising from the violations of this Act, and |
| 12 | | shall further publish notice in a paper of general |
| 13 | | circulation in the district in which the violations |
| 14 | | were prosecuted. The notice to investors shall |
| 15 | | identify the name, address, and other identifying |
| 16 | | information about any defendant prosecuted for |
| 17 | | violations of this Act that resulted in forfeiture and |
| 18 | | sale of property, the offense for which the defendant |
| 19 | | was convicted, and that the court has ordered |
| 20 | | forfeiture and sale of property for claims of |
| 21 | | investors who incurred losses or damages as a result |
| 22 | | of the violations. Investors may then file a claim in a |
| 23 | | form prescribed by the Secretary of State in order to |
| 24 | | share in disbursement of the proceeds from sale of the |
| 25 | | forfeited property. Investor claims must be filed with |
| 26 | | the Secretary of State within 30 days after receipt of |
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| 1 | | the certified mail return receipt, or within 30 days |
| 2 | | after the last date of publication of the general |
| 3 | | notice in a paper of general circulation in the |
| 4 | | district in which the violations were prosecuted, |
| 5 | | whichever occurs last. |
| 6 | | (o) A civil action under this subsection must be |
| 7 | | commenced within 5 years after the last conduct giving |
| 8 | | rise to the forfeiture became known or should have |
| 9 | | become known or 5 years after the forfeitable property |
| 10 | | is discovered, whichever is later, excluding time |
| 11 | | during which either the property or claimant is out of |
| 12 | | this State or in confinement or during which criminal |
| 13 | | proceedings relating to the same conduct are in |
| 14 | | progress. |
| 15 | | (p) If property is seized for evidence and for |
| 16 | | forfeiture, the time periods for instituting judicial |
| 17 | | forfeiture proceedings shall not begin until the |
| 18 | | property is no longer necessary for evidence. |
| 19 | | (q) Notwithstanding other provisions of this Act, |
| 20 | | the Secretary of State and a claimant of forfeitable |
| 21 | | property may enter into an agreed-upon settlement |
| 22 | | concerning the forfeitable property in such an amount |
| 23 | | and upon such terms as are set out in writing in a |
| 24 | | settlement agreement. |
| 25 | | (r) Nothing in this Act shall apply to property |
| 26 | | that constitutes reasonable bona fide attorney's fees |
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| 1 | | paid to an attorney for services rendered or to be |
| 2 | | rendered in the forfeiture proceeding or criminal |
| 3 | | proceeding relating directly thereto when the property |
| 4 | | was paid before its seizure and before the issuance of |
| 5 | | any seizure warrant or court order prohibiting |
| 6 | | transfer of the property and when the attorney, at the |
| 7 | | time he or she received the property, did not know that |
| 8 | | it was property subject to forfeiture under this Act. |
| 9 | | The court shall further have jurisdiction and authority, |
| 10 | | in addition to the penalties and other remedies in this Act |
| 11 | | provided, to enter an order for the appointment of the court or |
| 12 | | a person as a receiver, conservator, ancillary receiver or |
| 13 | | ancillary conservator for the defendant or the defendant's |
| 14 | | assets located in this State, or to require restitution, |
| 15 | | damages or disgorgement of profits on behalf of the person or |
| 16 | | persons injured by the act or practice constituting the |
| 17 | | subject matter of the action, and may assess costs against the |
| 18 | | defendant for the use of the State; provided, however, that |
| 19 | | the civil remedies of rescission and appointment of a |
| 20 | | receiver, conservator, ancillary receiver or ancillary |
| 21 | | conservator shall not be available against any person by |
| 22 | | reason of the failure to file with the Secretary of State, or |
| 23 | | on account of the contents of, any report of sale provided for |
| 24 | | in subsection G or P of Section 4, paragraph (2) of subsection |
| 25 | | D of Sections 5 and 6, or paragraph (2) of subsection F of |
| 26 | | Section 7 of this Act. Appeals may be taken as in other civil |
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| 1 | | cases. |
| 2 | | I-5. Property forfeited under this Section is subject to |
| 3 | | reporting under the Seizure and Forfeiture Reporting Act. |
| 4 | | J. In no case shall the Secretary of State, or any of his |
| 5 | | or her employees or agents, in the administration of this Act, |
| 6 | | incur any official or personal liability by instituting an |
| 7 | | injunction or other proceeding or by denying, suspending or |
| 8 | | revoking the registration of a dealer or salesperson, or by |
| 9 | | denying, suspending or revoking the registration of securities |
| 10 | | or prohibiting the offer or sale of securities, or by |
| 11 | | suspending or prohibiting any person from acting as a dealer, |
| 12 | | limited Canadian dealer, salesperson, investment adviser, or |
| 13 | | investment adviser representative or from offering or selling |
| 14 | | securities. |
| 15 | | K. No provision of this Act shall be construed to require |
| 16 | | or to authorize the Secretary of State to require any |
| 17 | | investment adviser or federal covered investment adviser |
| 18 | | engaged in rendering investment supervisory services to |
| 19 | | disclose the identity, investments, or affairs of any client |
| 20 | | of the investment adviser or federal covered investment |
| 21 | | adviser, except insofar as the disclosure may be necessary or |
| 22 | | appropriate in a particular proceeding or investigation having |
| 23 | | as its object the enforcement of this Act. |
| 24 | | L. Whenever, after an examination, investigation or |
| 25 | | hearing, the Secretary of State deems it of public interest or |
| 26 | | advantage, he or she may certify a record to the State's |
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| 1 | | Attorney of the county in which the act complained of, |
| 2 | | examined or investigated occurred. The State's Attorney of |
| 3 | | that county within 90 days after receipt of the record shall |
| 4 | | file a written statement at the Office of the Secretary of |
| 5 | | State, which statement shall set forth the action taken upon |
| 6 | | the record, or if no action has been taken upon the record that |
| 7 | | fact, together with the reasons therefor, shall be stated. |
| 8 | | M. The Secretary of State may initiate, take, pursue, or |
| 9 | | prosecute any action authorized or permitted under Section 6d |
| 10 | | of the Federal 1974 Act. |
| 11 | | N. (1) Notwithstanding any provision of this Act to the |
| 12 | | contrary, to encourage uniform interpretation, administration, |
| 13 | | and enforcement of the provisions of this Act, the Secretary |
| 14 | | of State may cooperate with the securities agencies or |
| 15 | | administrators of one or more states, Canadian provinces or |
| 16 | | territories, or another country, the Securities and Exchange |
| 17 | | Commission, the Commodity Futures Trading Commission, the |
| 18 | | Securities Investor Protection Corporation, any |
| 19 | | self-regulatory organization, and any governmental law |
| 20 | | enforcement or regulatory agency. |
| 21 | | (2) The cooperation authorized by paragraph (1) of this |
| 22 | | subsection includes, but is not limited to, the following: |
| 23 | | (a) establishing or participating in a central |
| 24 | | depository or depositories for registration under this Act |
| 25 | | and for documents or records required under this Act; |
| 26 | | (b) making a joint audit, inspection, examination, or |
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| 1 | | investigation; |
| 2 | | (c) holding a joint administrative hearing; |
| 3 | | (d) filing and prosecuting a joint civil or criminal |
| 4 | | proceeding; |
| 5 | | (e) sharing and exchanging personnel; |
| 6 | | (f) sharing and exchanging information and documents; |
| 7 | | or |
| 8 | | (g) issuing any joint statement or policy. |
| 9 | | O. The Secretary of State may provide funds for |
| 10 | | restitution assistance to victims that were awarded |
| 11 | | restitution in a final order issued by a court of competent |
| 12 | | jurisdiction in a legal action initiated by the Secretary of |
| 13 | | State and who have not received the full amount of restitution |
| 14 | | ordered one year after the date of the final order. The |
| 15 | | Secretary of State may adopt rules to implement this |
| 16 | | subsection, including, but not be limited to, eligibility |
| 17 | | requirements for a restitution assistance award, applicable |
| 18 | | deadlines for applying for the award, and caps on the amount of |
| 19 | | restitution awards available from the Secretary of State. |
| 20 | | (Source: P.A. 99-182, eff. 1-1-16; 100-512, eff. 7-1-18; |
| 21 | | 100-699, eff. 8-3-18.) |
| 22 | | (815 ILCS 5/18.1) |
| 23 | | Sec. 18.1. Additional fees. In addition to any other fee |
| 24 | | that the Secretary of State may impose and collect pursuant to |
| 25 | | the authority contained in Sections 4, 8, and 11a of this Act, |
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| 1 | | beginning on July 1, 2003 the Secretary of State shall also |
| 2 | | collect the following additional fees: |
|
| 3 | | Securities offered or sold under the Uniform | | |
| 4 | | Limited Offering Exemption Pursuant to | | |
| 5 | | Section 4.D of the Act............................ | $100 | |
| 6 | | Securities offered or sold under the Uniform | | 7 | | Limited Offering Exemption pursuant to subsection | | 8 | | T of Section 4 of this Act. | $100 | |
| 9 | | Registration and renewal of a dealer.............. | $300 | |
| 10 | | Registration and renewal of a registered Internet | | 11 | | portal. | $300 | |
| 12 | | Registration and renewal of an investment adviser. | $200 | |
| 13 | | Federal covered investment adviser notification | | |
| 14 | | filing and annual notification filing............. | $200 | |
| 15 | | Registration and renewal of a salesperson......... | $75 | |
| 16 | | Registration and renewal of an investment adviser | | |
| 17 | | representative and a federal covered | | |
| 18 | | investment adviser representative................. | $75 |
|
| 19 | | Investment fund shares notification filing and annual |
| 20 | | notification filing: $800 plus $80 for each series, class, or |
| 21 | | portfolio. |
| 22 | | All fees collected by the Secretary of State pursuant to |
| 23 | | this Section amendatory Act of the 93rd General Assembly shall |
| 24 | | be deposited into the Securities Audit and Enforcement Fund |
| 25 | | General Revenue Fund in the State treasury. |