|
| | 97TH GENERAL ASSEMBLY
State of Illinois
2011 and 2012 HB3232 Introduced 2/24/2011, by Rep. Constance A. Howard - Esther Golar SYNOPSIS AS INTRODUCED: |
|
815 ILCS 5/8 | from Ch. 121 1/2, par. 137.8 |
|
Amends the Illinois Securities Law of 1953. Provides that upon registration of an investment adviser representative, the applicant shall file evidence setting forth that such investment adviser representative has in effect fidelity insurance and insurance or other equivalent
protection for each client's cash or securities held by the investment adviser representative, and
an undertaking that the investment adviser representative will continually maintain such fidelity insurance and insurance
or other protection during the period of registration or re-registration.
Provides that such fidelity insurance and insurance or other protection shall be in a form and amount reasonably
prescribed by the Secretary of State by rule or regulation.
|
| |
| | A BILL FOR |
|
|
| | HB3232 | | LRB097 07053 AEK 47146 b |
|
|
1 | | AN ACT concerning employment.
|
2 | | Be it enacted by the People of the State of Illinois,
|
3 | | represented in the General Assembly:
|
4 | | Section 5. The Illinois Securities Law of 1953 is amended |
5 | | by changing Section 8 as follows:
|
6 | | (815 ILCS 5/8) (from Ch. 121 1/2, par. 137.8)
|
7 | | Sec. 8.
Registration of dealers, limited Canadian dealers,
|
8 | | salespersons, investment advisers, and investment adviser |
9 | | representatives.
|
10 | | A. Except as otherwise provided in this subsection A, every |
11 | | dealer,
limited Canadian dealer, salesperson, investment |
12 | | adviser,
and investment adviser representative shall be |
13 | | registered as such with the
Secretary of State. No dealer or |
14 | | salesperson need be registered as such when
offering or selling |
15 | | securities in transactions
exempted by subsection A, B, C, D, |
16 | | E, G, H, I, J, K, M, O, P, Q, R or S of
Section 4 of this Act, |
17 | | provided that such dealer or salesperson is not
regularly |
18 | | engaged in the business of offering or selling securities
in |
19 | | reliance
upon the exemption set forth in subsection G or M of |
20 | | Section 4 of this Act. No
dealer, issuer or controlling person |
21 | | shall employ a salesperson unless such
salesperson is |
22 | | registered as such with the Secretary of State or is employed
|
|
| | HB3232 | - 2 - | LRB097 07053 AEK 47146 b |
|
|
1 | | for the purpose of offering or selling securities solely in
|
2 | | transactions exempted by subsection A, B, C,
D, E, G, H, I, J, |
3 | | K, L, M, O, P, Q, R or S of Section 4 of this Act;
provided that |
4 | | such salesperson need not be registered when
effecting |
5 | | transactions in this State limited to those transactions |
6 | | described
in Section 15(h)(2) of the Federal 1934 Act or |
7 | | engaging in the
offer or sale of securities in respect of which |
8 | | he or she has beneficial
ownership and is a controlling person. |
9 | | The Secretary of State may, by
rule, regulation or order and |
10 | | subject to such terms, conditions, and
fees as
may be |
11 | | prescribed in such rule, regulation or order, exempt from the
|
12 | | registration requirements of this Section 8 any investment |
13 | | adviser, if the
Secretary of State shall find that such |
14 | | registration is not necessary in
the public interest by reason |
15 | | of the small number of clients or otherwise
limited character |
16 | | of operation of such investment adviser.
|
17 | | B. An application for registration as a dealer or limited |
18 | | Canadian
dealer, executed, verified, or
authenticated by or on |
19 | | behalf of the applicant,
shall be filed with the Secretary of |
20 | | State, in such form as the Secretary of
State may by rule, |
21 | | regulation or order prescribe, setting forth or accompanied
by:
|
22 | | (1) The name and address of the applicant, the location |
23 | | of its principal
business office and all branch offices, if |
24 | | any, and the
date of its organization;
|
25 | | (2) A statement of any other Federal or state licenses |
|
| | HB3232 | - 3 - | LRB097 07053 AEK 47146 b |
|
|
1 | | or
registrations
which have been granted the applicant and |
2 | | whether any such licenses or
registrations have ever been |
3 | | refused, cancelled, suspended, revoked or
withdrawn;
|
4 | | (3) The assets and all liabilities, including |
5 | | contingent
liabilities of
the applicant, as of a date not |
6 | | more than 60 days prior to the filing of
the application;
|
7 | | (4) (a) A brief description of any civil or criminal
|
8 | | proceeding of which
fraud is an essential element pending |
9 | | against the applicant and whether the
applicant has ever |
10 | | been convicted of a felony, or of any misdemeanor of
which |
11 | | fraud is an essential element;
|
12 | | (b) A list setting forth the name, residence and |
13 | | business address and
a 10 year occupational statement of |
14 | | each principal of the applicant and a
statement describing |
15 | | briefly any civil or criminal proceedings of which
fraud is |
16 | | an essential element pending against any such principal and |
17 | | the
facts concerning any conviction of any such principal |
18 | | of a felony, or of
any misdemeanor of which fraud is an |
19 | | essential element;
|
20 | | (5) If the applicant is a corporation: a list
of its |
21 | | officers and directors
setting forth the residence and |
22 | | business address of each; a 10-year
occupational statement |
23 | | of each such officer or director; and a
statement |
24 | | describing briefly any civil or criminal proceedings of |
25 | | which
fraud is an essential element pending against each |
26 | | such officer or
director and the facts concerning any |
|
| | HB3232 | - 4 - | LRB097 07053 AEK 47146 b |
|
|
1 | | conviction of any officer or director
of a felony, or of |
2 | | any misdemeanor of which fraud is an essential element;
|
3 | | (6) If the applicant is a sole proprietorship, a |
4 | | partnership,
limited liability company, an unincorporated |
5 | | association or any similar
form of business organization:
|
6 | | the name, residence and business address of the proprietor |
7 | | or of each
partner, member, officer, director, trustee or |
8 | | manager; the limitations, if
any, of the liability of each |
9 | | such individual; a 10-year occupational
statement of each |
10 | | such individual; a statement describing briefly any civil
|
11 | | or criminal proceedings of which fraud is an essential |
12 | | element pending
against each such individual and the facts |
13 | | concerning any conviction of
any such individual of a |
14 | | felony, or of any misdemeanor of
which fraud is an |
15 | | essential element;
|
16 | | (7) Such additional information as the Secretary of
|
17 | | State may by rule or regulation prescribe as necessary to |
18 | | determine the
applicant's financial responsibility, |
19 | | business repute and qualification to
act as a dealer.
|
20 | | (8) (a) No applicant shall be registered or |
21 | | re-registered as a
dealer or limited Canadian dealer
under |
22 | | this Section unless and until each principal of the dealer |
23 | | has
passed an examination conducted by the Secretary of |
24 | | State or a
self-regulatory organization of securities |
25 | | dealers or similar person, which
examination has been |
26 | | designated by the Secretary of State by rule,
regulation or |
|
| | HB3232 | - 5 - | LRB097 07053 AEK 47146 b |
|
|
1 | | order to be satisfactory for purposes of determining |
2 | | whether
the applicant has sufficient knowledge of the |
3 | | securities business and laws
relating thereto to act as a |
4 | | registered dealer. Any dealer who was
registered on |
5 | | September 30, 1963, and has continued to be so registered;
|
6 | | and any principal of any registered dealer, who was acting |
7 | | in such capacity
on and continuously since September 30, |
8 | | 1963; and any individual who has
previously passed a |
9 | | securities dealer examination administered by the
|
10 | | Secretary of State or any examination designated by the |
11 | | Secretary of State
to be satisfactory for purposes of |
12 | | determining whether the applicant has
sufficient knowledge |
13 | | of the securities business and laws relating thereto
to act |
14 | | as a registered dealer by rule, regulation or order, shall |
15 | | not be
required to pass an examination in order to continue |
16 | | to act in such
capacity. The Secretary of State may by |
17 | | order waive the examination
requirement for any principal |
18 | | of an applicant for registration under this
subsection B |
19 | | who has had such experience or education relating to the
|
20 | | securities business as may be determined by the Secretary |
21 | | of State to be
the equivalent of such examination. Any |
22 | | request for such a waiver shall be
filed with the Secretary |
23 | | of State in such form as may be prescribed by rule
or |
24 | | regulation.
|
25 | | (b) Unless an applicant is a member of the body |
26 | | corporate known as the
Securities Investor Protection |
|
| | HB3232 | - 6 - | LRB097 07053 AEK 47146 b |
|
|
1 | | Corporation established pursuant to the Act
of Congress of |
2 | | the United States known as the Securities Investor
|
3 | | Protection Act of 1970, as amended, a member of an |
4 | | association of
dealers registered as a national securities |
5 | | association pursuant to Section
15A of the Federal 1934 |
6 | | Act,
or a member of a self-regulatory organization or stock |
7 | | exchange in Canada
which the Secretary of State has |
8 | | designated by rule or order,
an applicant shall not be |
9 | | registered or
re-registered unless and until there is filed |
10 | | with the Secretary of State
evidence that such applicant |
11 | | has in effect insurance or other equivalent
protection for |
12 | | each client's cash or securities held by such applicant, |
13 | | and
an undertaking that such applicant will continually |
14 | | maintain such insurance
or other protection during the |
15 | | period of registration or re-registration.
Such insurance |
16 | | or other protection shall be in a form and amount |
17 | | reasonably
prescribed by the Secretary of State by rule or |
18 | | regulation.
|
19 | | (9) The application for the registration of a dealer or |
20 | | limited Canadian
dealer shall be
accompanied by a filing |
21 | | fee and a fee for each branch office in this State, in
each |
22 | | case in the amount established pursuant to Section 11a of |
23 | | this
Act, which fees shall not be returnable in any event.
|
24 | | (10) The Secretary of State shall notify the dealer or |
25 | | limited Canadian
dealer by written notice (which may be by |
26 | | electronic or
facsimile transmission) of the effectiveness |
|
| | HB3232 | - 7 - | LRB097 07053 AEK 47146 b |
|
|
1 | | of the registration as a dealer in
this State.
|
2 | | (11) Any change which renders no longer accurate any
|
3 | | information
contained in any application for registration |
4 | | or re-registration of a
dealer or limited Canadian dealer |
5 | | shall be reported to the Secretary of
State within 10 |
6 | | business days
after the occurrence of such change; but in |
7 | | respect to assets and
liabilities only materially adverse |
8 | | changes need be reported.
|
9 | | C. Any registered dealer, limited Canadian dealer, issuer, |
10 | | or
controlling person desiring to
register a salesperson shall |
11 | | file an application with the Secretary of
State, in such form |
12 | | as the Secretary of State may by rule or regulation
prescribe, |
13 | | which the salesperson is required by this Section to provide
to |
14 | | the dealer, issuer, or controlling person, executed, verified, |
15 | | or
authenticated by the salesperson setting forth or
|
16 | | accompanied by:
|
17 | | (1) the name, residence and business address of the |
18 | | salesperson;
|
19 | | (2) whether any federal or State license or |
20 | | registration as dealer,
limited Canadian dealer, or |
21 | | salesperson has ever been refused the salesperson
or |
22 | | cancelled, suspended, revoked, withdrawn, barred, limited, |
23 | | or
otherwise adversely affected in a similar manner or |
24 | | whether the salesperson has
ever been censured or expelled;
|
25 | | (3) the nature of employment with, and names and |
|
| | HB3232 | - 8 - | LRB097 07053 AEK 47146 b |
|
|
1 | | addresses of, employers
of the salesperson for the 10 years |
2 | | immediately preceding the date of
application;
|
3 | | (4) a brief description of any civil or criminal |
4 | | proceedings of which
fraud is an essential element pending |
5 | | against the salesperson, and whether
the salesperson has |
6 | | ever been convicted of a felony, or of any misdemeanor
of |
7 | | which fraud is an essential element;
|
8 | | (5) such additional information as the Secretary of |
9 | | State may by rule,
regulation or order prescribe as |
10 | | necessary to determine the salesperson's
business repute |
11 | | and qualification to act as a salesperson; and
|
12 | | (6) no individual shall be registered or re-registered |
13 | | as a
salesperson
under this Section unless and until such |
14 | | individual has passed an
examination conducted by the |
15 | | Secretary of State or a self-regulatory
organization of |
16 | | securities dealers or similar person, which examination |
17 | | has
been designated by the Secretary of State by rule, |
18 | | regulation or order to be
satisfactory for purposes of |
19 | | determining whether the applicant has
sufficient knowledge |
20 | | of the securities business and laws relating thereto
to act |
21 | | as a registered salesperson.
|
22 | | Any salesperson who was registered prior to September |
23 | | 30, 1963, and has
continued to be so registered, and any |
24 | | individual who has passed a securities
salesperson
|
25 | | examination administered by the Secretary of State or an |
26 | | examination
designated by the Secretary of State by rule, |
|
| | HB3232 | - 9 - | LRB097 07053 AEK 47146 b |
|
|
1 | | regulation or order to be
satisfactory for purposes of |
2 | | determining whether the applicant has
sufficient knowledge |
3 | | of the securities business and laws relating thereto
to act |
4 | | as a registered salesperson, shall not be required to pass |
5 | | an
examination in order to continue to act as a |
6 | | salesperson. The Secretary of
State may by order waive the |
7 | | examination requirement for any applicant for
registration |
8 | | under this subsection C who has had such experience or
|
9 | | education relating to the securities business as may be |
10 | | determined by the
Secretary of State to be the equivalent |
11 | | of such examination. Any request
for such a waiver shall be |
12 | | filed with the Secretary of State in such form
as may be |
13 | | prescribed by rule, regulation or order.
|
14 | | (7) The application for registration of a salesperson |
15 | | shall be
accompanied
by a filing fee and a Securities Audit |
16 | | and Enforcement Fund fee, each
in the amount established |
17 | | pursuant to Section 11a of this Act, which shall
not be |
18 | | returnable in any event.
|
19 | | (8) Any change which renders no longer accurate any
|
20 | | information
contained in any application for registration |
21 | | or re-registration as a
salesperson shall be reported to |
22 | | the Secretary of State within 10 business
days after the |
23 | | occurrence of such change. If the activities are terminated
|
24 | | which rendered an individual a salesperson for the dealer, |
25 | | issuer or
controlling person, the dealer, issuer or |
26 | | controlling person, as the case
may be, shall notify the |
|
| | HB3232 | - 10 - | LRB097 07053 AEK 47146 b |
|
|
1 | | Secretary of State, in writing, within 30 days of
the |
2 | | salesperson's cessation of activities, using the |
3 | | appropriate termination
notice form.
|
4 | | (9) A registered salesperson may transfer his or her
|
5 | | registration
under this Section 8 for the unexpired term |
6 | | thereof from one registered
dealer or limited Canadian |
7 | | dealer to another by the giving of notice of the
transfer |
8 | | by the new
registered dealer or limited Canadian dealer to |
9 | | the Secretary of State in
such form and subject to
such |
10 | | conditions as the Secretary of State shall by rule or |
11 | | regulation
prescribe. The new registered dealer or limited |
12 | | Canadian dealer shall
promptly file an application
for |
13 | | registration of such salesperson as provided in this |
14 | | subsection C,
accompanied by the filing fee prescribed by |
15 | | paragraph (7) of this
subsection C.
|
16 | | C-5. Except with respect to federal covered investment |
17 | | advisers whose only
clients
are investment companies as defined |
18 | | in the Federal 1940 Act, other investment
advisers, federal |
19 | | covered investment advisers, or any similar person which the
|
20 | | Secretary of State may prescribe by rule or order, a federal |
21 | | covered investment
adviser shall file with the Secretary of |
22 | | State, prior to acting as a federal
covered investment adviser |
23 | | in this State, such documents as have been filed
with the |
24 | | Securities and Exchange Commission as the Secretary of State by |
25 | | rule
or order may prescribe. The notification of a federal |
|
| | HB3232 | - 11 - | LRB097 07053 AEK 47146 b |
|
|
1 | | covered investment
adviser shall be accompanied by a |
2 | | notification filing fee established pursuant
to Section 11a of |
3 | | this Act, which shall not be returnable in any event. Every
|
4 | | person acting as a federal covered investment adviser in this |
5 | | State shall file
a notification filing and pay an annual |
6 | | notification filing fee established
pursuant to Section 11a of |
7 | | this Act, which is not
returnable in any event. The failure to |
8 | | file any such notification shall
constitute a violation of |
9 | | subsection D of Section 12 of this Act, subject to
the |
10 | | penalties enumerated in Section 14 of this Act.
Until October |
11 | | 10, 1999 or other date as may be legally permissible, a
federal |
12 | | covered investment adviser who fails to file the notification |
13 | | or
refuses to pay the fees as required by this subsection shall |
14 | | register as an
investment adviser with the Secretary of State |
15 | | under Section 8 of this
Act.
The civil remedies
provided for in |
16 | | subsection A of Section 13 of this Act and the civil remedies
|
17 | | of rescission and appointment of receiver, conservator, |
18 | | ancillary receiver, or
ancillary conservator provided for in |
19 | | subsection F of Section 13 of this Act
shall not be available |
20 | | against any person by reason of the failure to file any
such |
21 | | notification or to pay the notification fee or on account of |
22 | | the contents
of any such notification.
|
23 | | D. An application for registration as an investment |
24 | | adviser,
executed, verified, or authenticated by or on behalf |
25 | | of the applicant, shall be
filed with
the Secretary of State, |
|
| | HB3232 | - 12 - | LRB097 07053 AEK 47146 b |
|
|
1 | | in such form
as the Secretary of State may by rule or |
2 | | regulation prescribe, setting
forth or accompanied by:
|
3 | | (1) The name and form of organization under which the |
4 | | investment adviser
engages or intends to engage in |
5 | | business; the state or country and date of
its |
6 | | organization; the location
of the adviser's principal |
7 | | business office and branch offices, if any; the
names and |
8 | | addresses of the adviser's principal, partners, officers,
|
9 | | directors, and persons performing similar functions or, if |
10 | | the
investment adviser is an individual, of the individual; |
11 | | and the
number of the adviser's employees who perform |
12 | | investment advisory functions;
|
13 | | (2) The education, the business affiliations for the |
14 | | past 10 years, and
the present business affiliations of the |
15 | | investment adviser and of
the adviser's principal, |
16 | | partners, officers, directors, and persons
performing |
17 | | similar functions and of any person controlling the
|
18 | | investment adviser;
|
19 | | (3) The nature of the business of the investment |
20 | | adviser,
including the manner of giving advice and |
21 | | rendering analyses or reports;
|
22 | | (4) The nature and scope of the authority of the |
23 | | investment
adviser with respect to clients' funds and |
24 | | accounts;
|
25 | | (5) The basis or bases upon which the investment |
26 | | adviser is
compensated;
|
|
| | HB3232 | - 13 - | LRB097 07053 AEK 47146 b |
|
|
1 | | (6) Whether the investment adviser or any principal,
|
2 | | partner, officer, director, person performing similar |
3 | | functions or person
controlling the investment adviser (i) |
4 | | within 10 years of the
filing of the application has been |
5 | | convicted of a felony, or of
any misdemeanor of which fraud |
6 | | is an essential element, or (ii) is
permanently or |
7 | | temporarily enjoined by order or judgment from acting as an
|
8 | | investment adviser, underwriter, dealer, principal or |
9 | | salesperson, or
from engaging in or continuing any conduct |
10 | | or practice in connection with
any such activity or in |
11 | | connection with the purchase or sale of any
security, and |
12 | | in each case the facts relating to the conviction,
order or |
13 | | judgment;
|
14 | | (7) (a) A statement as to whether the investment |
15 | | adviser is
engaged or is to engage primarily in the |
16 | | business of rendering investment
supervisory services; and
|
17 | | (b) A statement that the investment adviser will |
18 | | furnish his,
her, or its clients with such information as |
19 | | the Secretary of State
deems necessary in the form |
20 | | prescribed by the
Secretary of State by rule or regulation;
|
21 | | (8) Such additional information as the Secretary of |
22 | | State may, by rule,
regulation or order prescribe as |
23 | | necessary to determine the applicant's
financial |
24 | | responsibility, business repute and qualification to act |
25 | | as an
investment adviser.
|
26 | | (9) No applicant shall be registered or re-registered |
|
| | HB3232 | - 14 - | LRB097 07053 AEK 47146 b |
|
|
1 | | as an investment
adviser under this Section unless and |
2 | | until each principal of the applicant
who is actively |
3 | | engaged in the conduct and management of the applicant's
|
4 | | advisory business in this State has passed an examination |
5 | | or completed an
educational program conducted by the |
6 | | Secretary of State or an association
of investment advisers |
7 | | or similar person, which examination or educational
|
8 | | program has been designated by the Secretary of State by |
9 | | rule, regulation
or order to be satisfactory for purposes |
10 | | of determining whether the
applicant has sufficient |
11 | | knowledge of the securities business and laws
relating |
12 | | thereto to conduct the business of a registered investment |
13 | | adviser.
|
14 | | Any person who was a registered investment adviser |
15 | | prior to September 30,
1963, and has continued to be so |
16 | | registered, and any individual who has
passed an investment |
17 | | adviser examination administered by the Secretary of
|
18 | | State, or passed an examination or completed an educational |
19 | | program
designated by the Secretary of State by rule, |
20 | | regulation or order to be
satisfactory for purposes of |
21 | | determining whether the applicant has
sufficient knowledge |
22 | | of the securities business and laws relating thereto
to |
23 | | conduct the business of a registered investment adviser, |
24 | | shall not be
required to pass an examination or complete an |
25 | | educational program in
order to continue to act as an |
26 | | investment adviser. The Secretary of State
may by order |
|
| | HB3232 | - 15 - | LRB097 07053 AEK 47146 b |
|
|
1 | | waive the examination or educational program requirement |
2 | | for any
applicant for registration under this subsection D |
3 | | if the principal
of the applicant who is actively engaged |
4 | | in the conduct and management of the
applicant's advisory |
5 | | business in this State has had such experience
or education |
6 | | relating to the securities business as may be determined by |
7 | | the
Secretary of State to be the equivalent of the |
8 | | examination or
educational program. Any request for a |
9 | | waiver shall be filed
with the Secretary of State in such |
10 | | form as may be prescribed by
rule or regulation.
|
11 | | (10) No applicant shall be registered or re-registered |
12 | | as an
investment adviser under this Section 8 unless the |
13 | | application for
registration or re-registration is |
14 | | accompanied by an application for
registration or |
15 | | re-registration for each person
acting as an investment |
16 | | adviser representative on
behalf of the adviser and
a |
17 | | Securities Audit and Enforcement Fund fee that shall not be |
18 | | returnable in any
event is paid with respect to each |
19 | | investment adviser representative.
|
20 | | (11) The application for registration of an investment |
21 | | adviser shall be
accompanied by a filing fee and a fee for |
22 | | each branch office in this State, in
each case in the |
23 | | amount established pursuant to Section 11a of this
Act, |
24 | | which fees shall not be returnable in any event.
|
25 | | (12) The Secretary of State shall notify the investment |
26 | | adviser by written
notice (which may be by electronic or |
|
| | HB3232 | - 16 - | LRB097 07053 AEK 47146 b |
|
|
1 | | facsimile transmission)
of
the effectiveness of the |
2 | | registration as an investment adviser in this State.
|
3 | | (13) Any change which renders no longer accurate any |
4 | | information contained
in any application for registration |
5 | | or re-registration of an investment adviser
shall be |
6 | | reported to the Secretary of State within 10 business days |
7 | | after the
occurrence of the change. In respect to assets |
8 | | and liabilities of
an investment adviser that retains |
9 | | custody of clients' cash or
securities or accepts |
10 | | pre-payment of fees in excess of $500 per client and
6 or |
11 | | more months in advance only materially adverse changes need |
12 | | be reported by
written notice (which may be by electronic |
13 | | or facsimile
transmission) no later
than the close of |
14 | | business on the second business day following the discovery
|
15 | | thereof.
|
16 | | (14) Each application for registration as an |
17 | | investment adviser shall
become effective automatically on |
18 | | the 45th day following the filing of the
application, |
19 | | required documents or information, and payment of the |
20 | | required
fee unless (i) the Secretary of State has |
21 | | registered the investment adviser
prior to that date or |
22 | | (ii) an action with respect to the applicant is
pending |
23 | | under Section 11 of this Act.
|
24 | | D-5. A registered investment adviser or federal covered |
25 | | investment adviser
desiring to register an investment adviser |
|
| | HB3232 | - 17 - | LRB097 07053 AEK 47146 b |
|
|
1 | | representative shall file an
application with the Secretary of |
2 | | State, in the form as the Secretary of State
may by rule or |
3 | | order prescribe, which the investment adviser representative |
4 | | is
required by this Section to provide to the investment |
5 | | adviser, executed,
verified, or authenticated by the |
6 | | investment adviser representative and setting
forth or |
7 | | accompanied by:
|
8 | | (1) The name, residence, and business address of the |
9 | | investment
adviser representative;
|
10 | | (2) A statement whether any federal or state license or |
11 | | registration as a
dealer, salesperson, investment adviser, |
12 | | or investment adviser representative
has ever been |
13 | | refused, canceled, suspended, revoked or withdrawn;
|
14 | | (3) The nature of employment with, and names and |
15 | | addresses of,
employers of the investment adviser |
16 | | representative for the 10 years immediately
preceding the |
17 | | date of application;
|
18 | | (4) A brief description of any civil or criminal |
19 | | proceedings, of which
fraud is an essential element, |
20 | | pending against the investment adviser
representative and |
21 | | whether the investment adviser representative has ever |
22 | | been
convicted of a felony or of any misdemeanor of which |
23 | | fraud is an essential
element;
|
24 | | (5) Such additional information as the Secretary of |
25 | | State may by rule or
order prescribe as necessary to |
26 | | determine the investment adviser
representative's business |
|
| | HB3232 | - 18 - | LRB097 07053 AEK 47146 b |
|
|
1 | | repute or qualification to act as an investment
adviser |
2 | | representative;
|
3 | | (6) Documentation that the individual has passed an |
4 | | examination conducted
by the Secretary of State, an |
5 | | organization of investment advisers, or similar
person, |
6 | | which examination has been designated by the Secretary of |
7 | | State by rule
or order to be satisfactory for purposes of |
8 | | determining whether the
applicant has sufficient knowledge |
9 | | of the investment advisory or securities
business and laws |
10 | | relating to that business to act as a registered investment
|
11 | | adviser representative; and
|
12 | | (7) A Securities Audit and Enforcement Fund fee |
13 | | established under
Section 11a of this Act, which shall not |
14 | | be returnable in any event ; and .
|
15 | | (8) Evidence that the investment adviser |
16 | | representative has in effect fidelity insurance and |
17 | | insurance or other equivalent
protection for each client's |
18 | | cash or securities held by the investment adviser |
19 | | representative, and
an undertaking that the investment |
20 | | adviser representative will continually maintain such |
21 | | fidelity insurance and insurance
or other protection |
22 | | during the period of registration or re-registration.
Such |
23 | | fidelity insurance and insurance or other protection shall |
24 | | be in a form and amount reasonably
prescribed by the |
25 | | Secretary of State by rule or regulation. |
26 | | The Secretary of State may by order waive the examination |
|
| | HB3232 | - 19 - | LRB097 07053 AEK 47146 b |
|
|
1 | | requirement for an
applicant for registration under this |
2 | | subsection D-5 who has had the experience
or education relating |
3 | | to the investment advisory or securities business as may
be |
4 | | determined by the Secretary of State to be the equivalent of |
5 | | the
examination. A request for a waiver shall be filed with the |
6 | | Secretary of State
in the form as may be prescribed by rule or |
7 | | order.
|
8 | | A change that renders no longer accurate any information |
9 | | contained in any
application for registration or |
10 | | re-registration as an investment adviser
representative must |
11 | | be reported to the Secretary of State within 10 business
days |
12 | | after the occurrence of the change. If the activities that |
13 | | rendered an
individual an investment adviser representative |
14 | | for the investment adviser are
terminated, the investment |
15 | | adviser shall notify the Secretary of State in
writing (which |
16 | | may be by electronic or facsimile transmission), within 30 days
|
17 | | of the investment adviser representative's termination, using |
18 | | the
appropriate termination notice form as the Secretary of |
19 | | State may prescribe by
rule or order.
|
20 | | A registered investment adviser representative may |
21 | | transfer his or her
registration under this Section 8 for the |
22 | | unexpired term of the registration
from one registered |
23 | | investment adviser to another by the giving of notice of
the |
24 | | transfer by the new investment adviser to the Secretary of |
25 | | State in the
form and subject to the conditions as the |
26 | | Secretary of State shall prescribe.
The new registered |
|
| | HB3232 | - 20 - | LRB097 07053 AEK 47146 b |
|
|
1 | | investment adviser shall promptly file an application for
|
2 | | registration of the investment adviser representative as |
3 | | provided in this
subsection, accompanied by the Securities |
4 | | Audit and Enforcement Fund fee
prescribed by paragraph (7) of |
5 | | this
subsection D-5.
|
6 | | E. (1) Subject to the provisions of subsection F of Section |
7 | | 11 of
this Act, the registration of a dealer, limited Canadian |
8 | | dealer,
salesperson, investment adviser, or investment adviser
|
9 | | representative may be denied, suspended or revoked if the |
10 | | Secretary of State
finds that the dealer, limited Canadian |
11 | | dealer, salesperson,
investment adviser, or investment adviser |
12 | | representative or any
principal officer, director, partner, |
13 | | member, trustee, manager or any
person who performs a similar |
14 | | function of the dealer, limited Canadian
dealer, or investment |
15 | | adviser:
|
16 | | (a) has been convicted of any felony
during the 10 year |
17 | | period preceding the date of filing of any application for
|
18 | | registration or at any time thereafter, or of any |
19 | | misdemeanor of
which fraud is an essential element;
|
20 | | (b) has engaged in any unethical practice in connection |
21 | | with any
security, or in any fraudulent business practice;
|
22 | | (c) has failed to account for any money or property, or |
23 | | has failed to
deliver any security, to any person entitled |
24 | | thereto when due or within
a reasonable time thereafter;
|
25 | | (d) in the case of a dealer, limited Canadian dealer, |
|
| | HB3232 | - 21 - | LRB097 07053 AEK 47146 b |
|
|
1 | | or investment
adviser, is insolvent;
|
2 | | (e) in the case of a dealer, limited Canadian dealer,
|
3 | | salesperson, or registered principal of a dealer or
limited |
4 | | Canadian dealer
(i) has
failed
reasonably to supervise the
|
5 | | securities activities of any of its salespersons or other |
6 | | employees and the
failure
has permitted or facilitated a |
7 | | violation of Section 12 of this Act or (ii) is
offering or |
8 | | selling or has offered or sold securities in this
State |
9 | | through a salesperson other than a registered salesperson, |
10 | | or, in
the case of a salesperson, is selling or has sold |
11 | | securities in this State
for a dealer, limited Canadian |
12 | | dealer, issuer or controlling person with
knowledge that |
13 | | the
dealer, limited Canadian dealer, issuer or controlling |
14 | | person has not
complied with the provisions of
this Act
or |
15 | | (iii) has failed reasonably to supervise the
|
16 | | implementation of compliance measures following notice by
|
17 | | the Secretary of State of noncompliance with the Act or
|
18 | | with the regulations promulgated thereunder or both or (iv) |
19 | | has failed to
maintain and enforce written procedures to |
20 | | supervise the types of
business in which it engages and to |
21 | | supervise the activities of its
salespersons that are |
22 | | reasonably designed to achieve compliance with applicable
|
23 | | securities laws and regulations;
|
24 | | (f) in the case of an investment adviser, has failed |
25 | | reasonably to
supervise the advisory activities of any of |
26 | | its investment adviser
representatives or employees and |
|
| | HB3232 | - 22 - | LRB097 07053 AEK 47146 b |
|
|
1 | | the
failure has permitted or facilitated a violation of |
2 | | Section 12 of this Act;
|
3 | | (g) has violated any of the provisions of this Act;
|
4 | | (h) has made any material misrepresentation to the |
5 | | Secretary of State
in connection with any information |
6 | | deemed necessary by the Secretary of
State to determine a |
7 | | dealer's, limited Canadian dealer's, or investment
|
8 | | adviser's financial responsibility
or a dealer's, limited |
9 | | Canadian dealer's, investment adviser's,
salesperson's, or |
10 | | investment
adviser representative's business repute or
|
11 | | qualifications, or has refused to furnish any such |
12 | | information
requested by the Secretary of State;
|
13 | | (i) has had a license or registration under any Federal |
14 | | or State law
regulating securities, commodity futures
|
15 | | contracts,
or stock futures contracts refused, cancelled, |
16 | | suspended, withdrawn,
revoked, or otherwise
adversely |
17 | | affected in a similar manner;
|
18 | | (j) has had membership
in or
association with any |
19 | | self-regulatory
organization registered under the Federal |
20 | | 1934 Act or the Federal 1974 Act
suspended, revoked, |
21 | | refused, expelled, cancelled, barred, limited in any
|
22 | | capacity, or
otherwise adversely affected in a similar |
23 | | manner
arising from any fraudulent or deceptive act or a |
24 | | practice in violation of
any rule, regulation or standard |
25 | | duly promulgated by the self-regulatory
organization;
|
26 | | (k) has had any order entered against it after notice |
|
| | HB3232 | - 23 - | LRB097 07053 AEK 47146 b |
|
|
1 | | and opportunity
for hearing by a securities agency of any |
2 | | state, any foreign government
or agency thereof, the |
3 | | Securities and Exchange Commission, or the Federal
|
4 | | Commodities Futures Trading Commission arising from any |
5 | | fraudulent or
deceptive act or a practice in violation of |
6 | | any statute, rule or regulation
administered or |
7 | | promulgated by the agency or commission;
|
8 | | (l) in the case of a dealer or limited Canadian dealer, |
9 | | fails to
maintain a minimum net capital
in an amount which |
10 | | the Secretary of State may by rule or regulation require;
|
11 | | (m) has conducted a continuing course of dealing of |
12 | | such
nature as to demonstrate an inability to properly |
13 | | conduct the business of
the dealer, limited Canadian |
14 | | dealer, salesperson, investment
adviser,
or investment |
15 | | adviser representative;
|
16 | | (n) has had, after notice and opportunity for hearing, |
17 | | any injunction or
order entered against it or license or |
18 | | registration refused, cancelled,
suspended, revoked, |
19 | | withdrawn, limited, or otherwise adversely
affected in a |
20 | | similar manner by any state or federal body,
agency or |
21 | | commission regulating banking, insurance, finance or small |
22 | | loan
companies, real estate or mortgage brokers or |
23 | | companies, if the
action resulted from any act found by the |
24 | | body, agency or
commission to be a fraudulent or deceptive |
25 | | act or practice in violation of
any statute, rule or |
26 | | regulation administered or
promulgated by the body, agency |
|
| | HB3232 | - 24 - | LRB097 07053 AEK 47146 b |
|
|
1 | | or commission;
|
2 | | (o) has failed to file a return, or to pay the tax, |
3 | | penalty or interest
shown in a filed return, or to pay any |
4 | | final assessment of tax, penalty or
interest, as required |
5 | | by any tax Act administered by the Illinois
Department of |
6 | | Revenue, until such time as the requirements of
that tax |
7 | | Act are satisfied;
|
8 | | (p) in the case of a natural person who is a dealer, |
9 | | limited Canadian
dealer, salesperson,
investment adviser, |
10 | | or investment adviser representative, has defaulted on
an |
11 | | educational loan guaranteed by the
Illinois Student |
12 | | Assistance Commission, until the
natural person has |
13 | | established a satisfactory repayment record as determined |
14 | | by
the Illinois Student Assistance Commission;
|
15 | | (q) has failed to maintain the books and records |
16 | | required under this Act
or rules or regulations promulgated |
17 | | under this Act or under any requirements
established by the |
18 | | Securities and Exchange Commission or a self-regulatory
|
19 | | organization;
|
20 | | (r) has refused to allow or otherwise impeded designees |
21 | | of the Secretary
of
State from conducting an audit, |
22 | | examination, inspection, or investigation
provided for |
23 | | under Section 8 or 11 of this Act;
|
24 | | (s) has failed to maintain any minimum net capital or |
25 | | bond requirement set
forth in this Act or any rule or |
26 | | regulation promulgated under this Act;
|
|
| | HB3232 | - 25 - | LRB097 07053 AEK 47146 b |
|
|
1 | | (t) has refused the Secretary of State or his or her |
2 | | designee access to
any office or location within an office |
3 | | to conduct an investigation, audit,
examination, or |
4 | | inspection;
|
5 | | (u) has advised or caused a public pension fund or |
6 | | retirement system
established under the Illinois Pension |
7 | | Code to make an investment or engage in
a transaction not |
8 | | authorized by that Code;
|
9 | | (v) if a corporation, limited liability company, or |
10 | | limited liability
partnership has been suspended, |
11 | | canceled, revoked, or has failed to register as
a foreign
|
12 | | corporation, limited liability company, or limited |
13 | | liability partnership
with the Secretary
of State;
|
14 | | (w) is permanently or temporarily enjoined by any court |
15 | | of competent
jurisdiction, including any state, federal, |
16 | | or foreign government, from
engaging
in or continuing any |
17 | | conduct or practice involving any aspect of the securities
|
18 | | or commodities business or in any other business where the |
19 | | conduct or practice
enjoined involved investments, |
20 | | franchises, insurance, banking, or finance;
|
21 | | (2) If the Secretary of State finds that any registrant or |
22 | | applicant for
registration is no longer in existence or has |
23 | | ceased to do business as a
dealer, limited Canadian dealer, |
24 | | salesperson, investment
adviser, or investment adviser |
25 | | representative, or is subject to an
adjudication
as a person |
26 | | under legal disability or to the control of a
guardian, or |
|
| | HB3232 | - 26 - | LRB097 07053 AEK 47146 b |
|
|
1 | | cannot be located after reasonable search, or has failed
after |
2 | | written notice to pay to the Secretary of State any additional |
3 | | fee
prescribed by this Section or specified by rule or |
4 | | regulation, or if a
natural person, has defaulted on an |
5 | | educational loan guaranteed by the Illinois
Student Assistance |
6 | | Commission, the Secretary of State may by order cancel the
|
7 | | registration or application.
|
8 | | (3) Withdrawal of an application for registration or |
9 | | withdrawal from
registration as a dealer, limited Canadian |
10 | | dealer, salesperson,
investment adviser, or investment adviser |
11 | | representative becomes effective
30 days after receipt of an |
12 | | application to withdraw or within such
shorter period of time |
13 | | as the Secretary of State may determine, unless any
proceeding |
14 | | is pending under Section 11 of this Act when the application is
|
15 | | filed or a proceeding is instituted within 30 days after the |
16 | | application is
filed. If a proceeding is pending or instituted, |
17 | | withdrawal becomes effective
at such time and upon such |
18 | | conditions as the Secretary
of State by order determines. If no |
19 | | proceeding is pending or instituted and
withdrawal |
20 | | automatically becomes effective, the Secretary of State may
|
21 | | nevertheless institute a revocation or suspension proceeding |
22 | | within 2
years after withdrawal became effective and enter a |
23 | | revocation or suspension
order as of the last date on which |
24 | | registration was effective.
|
25 | | F. The Secretary of State shall make available upon request |
|
| | HB3232 | - 27 - | LRB097 07053 AEK 47146 b |
|
|
1 | | the date
that each dealer, investment adviser, salesperson, or |
2 | | investment
adviser representative was granted
registration, |
3 | | together with the name and address of the dealer, limited
|
4 | | Canadian dealer, or issuer on
whose behalf the salesperson is |
5 | | registered, and all
orders of the Secretary of State denying or |
6 | | abandoning an application, or
suspending or revoking |
7 | | registration, or censuring the persons.
The Secretary of State |
8 | | may designate by rule, regulation or order the
statements, |
9 | | information or reports submitted to or filed with him or
her |
10 | | pursuant to this Section 8 which the Secretary of State |
11 | | determines are
of a sensitive nature and therefore should be |
12 | | exempt from public
disclosure. Any such statement, information |
13 | | or report shall be
deemed confidential and shall not be |
14 | | disclosed to the public except upon the
consent of the person |
15 | | filing or submitting the statement,
information or report or by |
16 | | order of court or in court proceedings.
|
17 | | G. The registration or re-registration of a dealer or |
18 | | limited Canadian
dealer and of all salespersons
registered upon |
19 | | application of the dealer or limited Canadian dealer shall
|
20 | | expire on the next
succeeding anniversary date of the |
21 | | registration or re-registration of the
dealer; and the |
22 | | registration or re-registration of an investment
adviser and of |
23 | | all investment adviser representatives registered upon
|
24 | | application of the investment adviser shall expire on the next |
25 | | succeeding
anniversary date of the
registration of the |
|
| | HB3232 | - 28 - | LRB097 07053 AEK 47146 b |
|
|
1 | | investment adviser; provided, that the
Secretary of State may |
2 | | by rule or regulation prescribe an alternate date which
any |
3 | | dealer registered under the Federal 1934 Act or a member of any
|
4 | | self-regulatory association approved pursuant thereto, a |
5 | | member of a
self-regulatory organization or stock exchange in |
6 | | Canada, or any investment
adviser may elect
as
the expiration |
7 | | date of its dealer or limited Canadian dealer and
salesperson |
8 | | registrations, or the expiration date of its investment adviser
|
9 | | registration, as the case may be. A
registration of a |
10 | | salesperson registered upon application of an issuer or
|
11 | | controlling person shall expire on the next succeeding |
12 | | anniversary date of
the registration, or upon termination or |
13 | | expiration of the
registration of the securities, if any, |
14 | | designated in the application for his
or her registration or |
15 | | the alternative date as the Secretary may prescribe by
rule or |
16 | | regulation. Subject to paragraph (9) of subsection C of this |
17 | | Section
8, a salesperson's registration also shall terminate |
18 | | upon cessation of his or
her employment, or termination of his |
19 | | or her appointment or authorization, in
each case by the person |
20 | | who applied for the salesperson's registration,
provided that |
21 | | the Secretary of State may by rule or regulation prescribe an
|
22 | | alternate date for the expiration of the registration.
|
23 | | H. Applications for re-registration of dealers, limited |
24 | | Canadian
dealers, salespersons, investment advisers, and |
25 | | investment
adviser representatives shall be filed with the |
|
| | HB3232 | - 29 - | LRB097 07053 AEK 47146 b |
|
|
1 | | Secretary of State prior
to the expiration of the then current |
2 | | registration and
shall
contain such information as may be |
3 | | required by the Secretary of
State upon initial application |
4 | | with such omission therefrom or
addition thereto as the |
5 | | Secretary of State may authorize or prescribe. Each
application |
6 | | for re-registration of a dealer, limited Canadian dealer, or
|
7 | | investment adviser
shall be accompanied by a filing fee, each |
8 | | application for
re-registration as a salesperson shall be |
9 | | accompanied by a filing fee and a
Securities Audit and |
10 | | Enforcement Fund fee established pursuant to Section
11a of |
11 | | this Act, and
each application for re-registration as an |
12 | | investment adviser representative
shall be accompanied by a |
13 | | Securities Audit and Enforcement Fund fee
established under |
14 | | Section 11a of this Act,
which shall not be returnable in any |
15 | | event. Notwithstanding
the foregoing, applications for
|
16 | | re-registration of dealers, limited Canadian dealers, and |
17 | | investment
advisers may be filed within 30 days
following the |
18 | | expiration of the registration provided that the applicant pays
|
19 | | the annual registration fee together with an additional amount |
20 | | equal to
the annual registration fee and files any other |
21 | | information or documents that
the Secretary of State may |
22 | | prescribe by rule
or regulation or order. Any application filed |
23 | | within 30 days following the
expiration of the registration |
24 | | shall be automatically effective as of the
time of the earlier |
25 | | expiration provided that the proper fee has been paid
to the |
26 | | Secretary of State.
|
|
| | HB3232 | - 30 - | LRB097 07053 AEK 47146 b |
|
|
1 | | Each registered dealer, limited Canadian dealer, or |
2 | | investment adviser
shall continue to be
registered if the |
3 | | registrant changes his, her, or its form of organization
|
4 | | provided that the dealer or investment adviser files an |
5 | | amendment to his,
her, or its application not later than 30 |
6 | | days following the occurrence of the
change and pays the |
7 | | Secretary of State a fee in the amount established under
|
8 | | Section 11a of this Act.
|
9 | | I. (1) Every registered dealer, limited Canadian dealer, |
10 | | and investment
adviser shall make and keep
for such periods, |
11 | | such accounts, correspondence,
memoranda, papers, books and |
12 | | records as the Secretary of State may by rule or
regulation |
13 | | prescribe. All records so required shall be preserved for 3 |
14 | | years
unless the Secretary of State by rule, regulation or |
15 | | order prescribes otherwise
for particular types of records.
|
16 | | (2) Every registered dealer, limited Canadian dealer, and |
17 | | investment
adviser shall file such financial reports as the |
18 | | Secretary of State may by rule
or regulation
prescribe.
|
19 | | (3) All the books and records referred to in paragraph (1) |
20 | | of this
subsection I are subject at any time or from time to |
21 | | time to such
reasonable periodic, special or other audits, |
22 | | examinations, or inspections by
representatives of the |
23 | | Secretary of State, within or without this State, as the
|
24 | | Secretary of State deems necessary or appropriate in the public |
25 | | interest or for
the protection of investors.
|
|
| | HB3232 | - 31 - | LRB097 07053 AEK 47146 b |
|
|
1 | | (4) At the time of an audit, examination, or inspection, |
2 | | the Secretary of
State, by his or her designees, may
conduct an |
3 | | interview of any person employed or appointed by or
affiliated |
4 | | with a registered dealer, limited Canadian dealer, or |
5 | | investment
advisor, provided that the
dealer, limited Canadian |
6 | | dealer, or investment advisor shall be given
reasonable
notice |
7 | | of the time and place for the interview. At the option of the |
8 | | dealer,
limited Canadian dealer, or
investment advisor, a |
9 | | representative of the dealer or investment advisor with
|
10 | | supervisory responsibility over the individual being |
11 | | interviewed may be present
at the interview.
|
12 | | J. The Secretary of State may require by rule or regulation |
13 | | the
payment of an additional fee for the filing of information |
14 | | or documents
required to be filed by this Section which have |
15 | | not been filed in a timely
manner. The Secretary of State may |
16 | | also require by rule or regulation the
payment of an |
17 | | examination fee for administering any examination which it
may |
18 | | conduct pursuant to subsection B, C, D, or D-5 of this
Section |
19 | | 8.
|
20 | | K. The Secretary of State may declare any application for
|
21 | | registration or limited registration
under this Section 8 |
22 | | abandoned by order if the applicant fails to pay any
fee or |
23 | | file any information or document required under this Section 8 |
24 | | or by
rule or regulation for more than 30 days after the |
|
| | HB3232 | - 32 - | LRB097 07053 AEK 47146 b |
|
|
1 | | required payment or
filing date. The applicant may petition the |
2 | | Secretary of State for a
hearing within 15 days after the |
3 | | applicant's receipt of the order of
abandonment, provided that |
4 | | the petition sets forth the grounds
upon which the applicant |
5 | | seeks a hearing.
|
6 | | L. Any document being filed pursuant to this Section 8 |
7 | | shall be deemed
filed, and any fee being paid pursuant to this |
8 | | Section 8 shall be deemed
paid, upon the date of actual receipt |
9 | | thereof by the Secretary of State or
his or her designee.
|
10 | | M. The Secretary of State shall provide to the Illinois |
11 | | Student
Assistance
Commission annually or at mutually agreed |
12 | | periodic intervals the names and
social security numbers of |
13 | | natural persons registered under subsections B, C,
D, and D-5 |
14 | | of this Section. The Illinois Student Assistance Commission |
15 | | shall
determine if any student loan defaulter is registered as |
16 | | a dealer, limited
Canadian dealer, salesperson, or investment |
17 | | adviser under this Act and report
its determination to the |
18 | | Secretary of State or his or her designee.
|
19 | | (Source: P.A. 92-308, eff. 1-1-02; 93-580, eff. 8-21-03.)
|