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SB3162 Engrossed |
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LRB096 19909 AMC 35373 b |
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| AN ACT concerning public employee benefits.
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| Be it enacted by the People of the State of Illinois,
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| represented in the General Assembly:
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| Section 5. The Illinois Pension Code is amended by changing |
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| Section 1-113.14 and by adding Section 1-113.15 as follows: |
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| (40 ILCS 5/1-113.14) |
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| Sec. 1-113.14. Investment services for retirement systems, |
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| pension funds, and investment boards, except those funds |
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| established under Articles 3 and 4. |
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| (a) For the purposes of this Section, "investment services" |
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| means services provided by an investment adviser or a |
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| consultant other than qualified fund-of-fund management |
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| services as defined in Section 1-113.15 . |
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| (b) The selection and appointment of an investment adviser |
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| or consultant for investment services by the board of a |
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| retirement system, pension fund, or investment board subject to |
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| this Code, except those whose investments are restricted by |
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| Section 1-113.2, shall be made and awarded in accordance with |
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| this Section. All contracts for investment services shall be |
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| awarded by the board using a competitive process that is |
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| substantially similar to the process required for the |
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| procurement of professional and artistic services under |
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| Article 35 of the Illinois Procurement Code. Each board of |
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LRB096 19909 AMC 35373 b |
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| trustees shall adopt a policy in accordance with this |
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| subsection (b) within 60 days after the effective date of this |
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| amendatory Act of the 96th General Assembly. The policy shall |
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| be posted on its web site and filed with the Illinois |
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| Procurement Policy Board. Exceptions to this Section are |
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| allowed for (i) sole source procurements, (ii) emergency |
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| procurements, and (iii) at the discretion of the pension fund, |
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| retirement system, or board of investment, contracts that are |
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| nonrenewable and one year or less in duration, so long as the |
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| contract has a value of less than $20,000.
All exceptions |
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| granted under this Section must be published on the system's, |
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| fund's, or board's web site, shall name the person authorizing |
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| the procurement, and shall include a brief explanation of the |
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| reason for the exception. |
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| A person, other than a trustee or an employee of a |
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| retirement system, pension fund, or investment board, may not |
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| act as a consultant or investment adviser under this Section |
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| unless that person is registered as an investment adviser under |
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| the federal Investment Advisers Act of 1940 (15 U.S.C. 80b-1, |
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| et seq.) or a bank, as defined in the federal Investment |
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| Advisers Act of 1940 (15 U.S.C. 80b-1, et seq.). |
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| (c) Investment services provided by an investment adviser |
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| or a consultant appointed under this Section shall be rendered |
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| pursuant to a written contract between the investment adviser |
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| or consultant and the board. |
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| The contract shall include all of the following: |
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| (1) Acknowledgement in writing by the investment |
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| adviser or consultant that he or she is a fiduciary with |
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| respect to the pension fund or retirement system. |
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| (2) The description of the board's investment policy |
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| and notice that the policy is subject to change. |
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| (3) (i) Full disclosure of direct and indirect fees, |
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| commissions, penalties, and other compensation, including |
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| reimbursement for expenses, that may be paid by or on |
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| behalf of the consultant in connection with the provision |
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| of services to the pension fund or retirement system and |
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| (ii) a requirement that the consultant update the |
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| disclosure promptly after a modification of those payments |
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| or an additional payment. |
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| (4) A requirement that the investment adviser or |
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| consultant, in conjunction with the board's staff, submit |
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| periodic written reports, on at least a quarterly basis, |
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| for the board's review at its regularly scheduled meetings. |
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| All returns on investment shall be reported as net returns |
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| after payment of all fees, commissions, and any other |
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| compensation. |
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| (5) Disclosure of the names and addresses of (i) the |
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| consultant or investment adviser; (ii) any entity that is a |
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| parent of, or owns a controlling interest in, the |
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| consultant or investment adviser; (iii) any entity that is |
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| a subsidiary of, or in which a controlling interest is |
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| owned by, the consultant or investment adviser; (iv) any |
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| persons who have an ownership or distributive income share |
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| in the consultant or investment adviser that is in excess |
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| of 7.5%; or (v) serves as an executive officer of the |
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| consultant or investment adviser. |
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| (6) A disclosure of the names and addresses of all |
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| subcontractors, if applicable, and the expected amount of |
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| money each will receive under the contract, including an |
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| acknowledgment that the contractor must promptly make |
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| notification, in writing, if at any time during the term of |
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| the contract a contractor adds or changes any |
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| subcontractors. For purposes of this subparagraph (6), |
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| "subcontractor" does not include non-investment related |
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| professionals or professionals offering services that are |
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| not directly related to the investment of assets, such as |
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| legal counsel, actuary, proxy-voting services, services |
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| used to track compliance with legal standards, and |
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| investment fund of funds where the board has no direct |
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| contractual relationship with the investment advisers or |
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| partnerships. |
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| (7) A description of service to be performed. |
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| (8) A description of the need for the service. |
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| (9) A description of the plan for post-performance |
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| review. |
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| (10) A description of the qualifications necessary. |
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| (11) The duration of the contract. |
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| (12) The method for charging and measuring cost. |
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| (d) Notwithstanding any other provision of law, a |
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| retirement system, pension fund, or investment board subject to |
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| this Code, except those whose investments are restricted by |
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| Section 1-113.2 of this Code, shall not enter into a contract |
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| with a consultant that exceeds 5 years in duration. No contract |
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| to provide consulting services may be renewed or extended. At |
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| the end of the term of a contract, however, the consultant is |
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| eligible to compete for a new contract as provided in this |
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| Section. No retirement system, pension fund, or investment |
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| board shall attempt to avoid or contravene the restrictions of |
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| this subsection (d) by any means. |
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| (e) Within 60 days after the effective date of this |
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| amendatory Act of the 96th General Assembly, each investment |
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| adviser or consultant currently providing services or subject |
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| to an existing contract for the provision of services must |
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| disclose to the board of trustees all direct and indirect fees, |
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| commissions, penalties, and other compensation paid by or on |
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| behalf of the investment adviser or consultant in connection |
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| with the provision of those services and shall update that |
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| disclosure promptly after a modification of those payments or |
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| an additional payment. The person shall update the disclosure |
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| promptly after a modification of those payments or an |
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| additional payment. The disclosures required by this |
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| subsection (e) shall be in writing and shall include the date |
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| and amount of each payment and the name and address of each |
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| recipient of a payment. |
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| (f) The retirement system, pension fund, or board of |
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| investment shall develop uniform documents that shall be used |
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| for the solicitation, review, and acceptance of all investment |
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| services. The form shall include the terms contained in |
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| subsection (c) of this Section. All such uniform documents |
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| shall be posted on the retirement system's, pension fund's, or |
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| investment board's web site. |
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| (g) A description of every contract for investment services |
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| shall be posted in a conspicuous manner on the web site of the |
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| retirement system, pension fund, or investment board. The |
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| description must include the name of the person or entity |
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| awarded a contract, the total amount applicable to the |
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| contract, the total fees paid or to be paid, and a disclosure |
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| approved by the board describing the factors that contributed |
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| to the selection of an investment adviser or consultant. |
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| (Source: P.A. 96-6, eff. 4-3-09.) |
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| (40 ILCS 5/1-113.15 new) |
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| Sec. 1-113.15. Qualified fund-of-fund management services. |
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| (a) As used in this Section: |
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| "Qualified fund-of-fund management services" means either |
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| (i) the services of an investment adviser acting in its |
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| capacity as an investment manager of a fund-of-funds or (ii) an |
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| investment adviser acting in its capacity as an investment |
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| manager of a separate account that is invested on a |
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| side-by-side basis in a substantially identical manner to a |
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| fund-of-funds, in each case pursuant to qualified written |
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| agreements. |
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| "Qualified written agreements" means one or more written |
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| contracts to which the investment adviser and the board are |
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| parties and includes all of the following: (i) the matters |
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| described in items (1), (4), (5), (7), (11) and (12) of |
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| subsection (c) of Section 1-113.14; (ii) a description of any |
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| fees, commissions, penalties, and other compensation payable, |
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| if any, directly by the retirement system, pension fund, or |
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| investment board (which shall not include any fees, |
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| commissions, penalties, and other compensation payable from |
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| the assets of the fund-of-funds or separate account); (iii) a |
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| description (or method of calculation) of the fees and expenses |
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| payable by the Fund to the investment adviser, and the timing |
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| of the payment of the fees or expenses; and (iv) a description |
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| (or method of calculation) of any carried interest or other |
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| performance based interests, fees or payments allocable by the |
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| Fund to the investment adviser or an affiliate of the |
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| investment adviser, and the priority of distributions with |
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| respect to such interest. |
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| (b) A description of every contract for qualified |
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| fund-of-fund management services must be posted in a |
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| conspicuous manner on the web site of the retirement system, |
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| pension fund, or investment board. The description must include |
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| the name of the fund-of-funds, the name of its investment |
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| adviser, the total investment commitment of the retirement |
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LRB096 19909 AMC 35373 b |
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| system, pension fund, or investment board to invest in such |
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| fund-of-funds, and a disclosure approved by the board |
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| describing the factors that contributed to the investment in |
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| such fund-of-funds. No information that is exempt from |
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| inspection pursuant to Section 7 of the Freedom of Information |
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| Act shall be disclosed under this Section.
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| Section 99. Effective date. This Act takes effect upon |
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| becoming law.
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