ARTICLE
26 September 2018

SEC Proposes Amendment To Single Issuer Exemption For Broker-Dealers Annual Reports

CW
Cadwalader, Wickersham & Taft LLP

Contributor

Cadwalader, established in 1792, serves a diverse client base, including many of the world's leading financial institutions, funds and corporations. With offices in the United States and Europe, Cadwalader offers legal representation in antitrust, banking, corporate finance, corporate governance, executive compensation, financial restructuring, intellectual property, litigation, mergers and acquisitions, private equity, private wealth, real estate, regulation, securitization, structured finance, tax and white collar defense.
Comments must be submitted within 30 days of publication in the Federal Register.
United States Corporate/Commercial Law
To print this article, all you need is to be registered or login on Mondaq.com.

The SEC proposed an amendment to Exchange Act Rule 17a-5 that would clarify an annual reporting exemption for certain broker-dealers. The amendment clarifies that a broker-dealer that acts as an agent for a single issuer does not need an independent public accountant to certify its annual reports.

In the proposal, the SEC reviewed the history of exemptions to Exchange Act Rule 17a-5, first adopted in 1957. The SEC is proposing this rule amendment to clarify the continuing viability of the exemption.

Comments must be submitted within 30 days of publication in the Federal Register.

The content of this article is intended to provide a general guide to the subject matter. Specialist advice should be sought about your specific circumstances.

ARTICLE
26 September 2018

SEC Proposes Amendment To Single Issuer Exemption For Broker-Dealers Annual Reports

United States Corporate/Commercial Law

Contributor

Cadwalader, established in 1792, serves a diverse client base, including many of the world's leading financial institutions, funds and corporations. With offices in the United States and Europe, Cadwalader offers legal representation in antitrust, banking, corporate finance, corporate governance, executive compensation, financial restructuring, intellectual property, litigation, mergers and acquisitions, private equity, private wealth, real estate, regulation, securitization, structured finance, tax and white collar defense.
See More Popular Content From

Mondaq uses cookies on this website. By using our website you agree to our use of cookies as set out in our Privacy Policy.

Learn More