Prospectus Delivery Obligations

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17 CFR § 230.174 - Delivery of prospectus by dealers ...

    https://www.law.cornell.edu/cfr/text/17/230.174
    The obligations of a dealer (including an underwriter no longer acting as an underwriter in respect of the security involved in such transactions) to deliver a prospectus in transactions in a security as to which a registration statement has been filed taking place prior to the expiration of the 40- or 90-day period specified in section 4(3) of the Act after the effective date of such ...

Final Rule: Enhanced Disclosure and New Prospectus ...

    https://www.sec.gov/rules/final/2009/33-8998.pdf
    prospectus. The Commission is also adopting rule amendments that permit a person to satisfy its mutual fund prospectus delivery obligations under Section 5(b)(2) of the Securities Act by sending or giving the key information directly to investors in the form of a summary prospectus and providing the statutory prospectus on an Internet Web site.

"Constructive Delivery" of Mutual Fund Prospectuses to ...

    https://www.mminst.org/mmi-news/constructive-delivery-mutual-fund-prospectuses-discretionary-investment-advisers
    We are pleased to share a significant and positive outcome to MMI's advocacy efforts to advance the interests of our members by obtaining guidance from the SEC staff that a broker-dealer can satisfy its prospectus delivery obligations under the federal securities laws by delivering prospectuses to investment advisers in managed account programs instead of their clients.

FINRA Sanctions Member Firm for ... - The BD/IA Regulator

    https://www.mofoiminsights.com/2014/12/finra-sanctions-member-firm-for-failure-to-deliver-etf-prospectuses/
    Dec 19, 2014 · Testing procedures should be evaluated for the scope and frequency of the tests and a clear understanding of prospectus delivery obligations. Seemingly isolated instances of delivery failures should be examined, with the root cause analyzed to ensure that it is not emblematic of a larger problem.

What Are the Prospectus Delivery Requirements? Going Public

    https://www.securitieslawyer101.com/2014/prospectus-delivery-requirements/
    In IPO’s, a final prospectus must be delivered to all investors with or before they purchase the security being offered. Final prospectus delivery obligations are satisfied when the Company files its final prospectus meeting the requirements of Section 10(a) of the Securities Act on the SEC’s Edgar system.

Prospectus Disclosure 6/28/2017 and Delivery Requirements

    https://legacy.pli.edu/product_files/Titles/148/%23205949_04_Mutual_Fund_Regulation_P2_20170714142446.pdf
    Prospectus Disclosure and Delivery Requirements Michael Glazer Partner, Morgan, Lewis & Bockius LLP Laurie A. Dee Partner, Morgan, Lewis & Bockius LLP [Chapter 4 is current as of May 15, 2017.] § 4:1 Federal and State Registration Requirements § 4:1.1 Registration Under …File Size: 823KB

Please Mr. Postman: FINRA Cracks Down on Late Prospectus ...

    http://media.mofo.com/files/uploads/Images/130726-FINRA-Late-Prospectus.pdf
    Please Mr. Postman: FINRA Cracks Down on Late Prospectus Delivery. By . Daniel A. Nathan. and Kerry C. Jones . FINRA has been engaged in a “stealth sweep” of firms’ untimely deliveries of mutual fund and ETF prospectuses that has resulted in formal disciplinary proceedings against twelve firms since 2011, and a total of over $5 million in ...File Size: 59KB

SEC Provides Guidance on Mutual Fund Prospectus Delivery ...

    https://www.findknowdo.com/news/04/12/2019/sec-provides-guidance-mutual-fund-prospectus-delivery-obligations
    SEC Provides Guidance on Mutual Fund Prospectus Delivery Obligations. In a guidance letter to certain parties, the SEC Division of Corporation Finance clarified that a broker-dealer may satisfy its prospectus delivery obligation, under Securities Act Section 5(b)(2) ...

17 CFR § 240.15c2-8 - Delivery of prospectus. CFR US ...

    https://www.law.cornell.edu/cfr/text/17/240.15c2-8
    (a) It shall constitute a deceptive act or practice, as those terms are used in section 15(c)(2) of the Act, for a broker or dealer to participate in a distribution of securities with respect to which a registration statement has been filed under the Securities Act of 1933 unless he complies with the requirements set forth in paragraphs (b) through (h) of this section.

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