Rule 19h-1
 
Notice by a Self-regulatory Organization of Proposed Admission to or
Continuance in Membership or Participation or Association
with a Member of Any Person Subject to a Statutory Disqualification, and Applications to the
Commission for Relief Therefrom
(a) Notice of admission or continuance notwithstanding a
statutory
disqualification.
(1) Any self-regulatory organization proposing,
conditionally or unconditionally, to admit to, or continue any person
in, membership or participation or (in the case of a national securities
exchange or registered securities association) association with a
member, notwithstanding a statutory disqualification, as defined in
section 3(a)(39) of the Act, with respect to such person, shall file a
notice with the Commission of such proposed admission or continuance. If
such disqualified person has not consented to the terms of such
proposal, notice of the organization's action shall be filed pursuant to
rule 19d-1 under the Act and not this rule.
(2) With respect to a person associated with a member of a
national
securities exchange or registered securities association, notices need
be filed with the Commission pursuant to this rule only if such person:
(i) Controls such member, is a general partner or officer (or
person
occupying a similar status or performing similar functions) of such
member, is an employee who, on behalf of such member, is engaged in
securities advertising, public relations, research, sales, trading, or
training or supervision of other employees who engage or propose to
engage in such activities, except clerical and ministerial persons
engaged in such activities, or is an employee with access to funds,
securities or books and records, or
(ii) Is a broker or dealer not registered with the
Commission, or
controls such (unregistered) broker or dealer or is a general partner or
officer (or person occupying a similar status or performing similar functions)
of such broker or dealer.
(3) A notice need not be filed with the Commission pursuant
to this
rule if:
(i) The person subject to the statutory disqualification is
already
a participant in, a member of, or a person associated with a member of,
a self-regulatory organization, and the terms and conditions of the
proposed admission by another self-regulatory organization are the same
in all material respects as those imposed or not disapproved in
connection with such person's prior admission or continuance pursuant to
an order of the Commission under paragraph (d) of this section or other
substantially equivalent written communication.
(ii) The self-regulatory organization finds, after reasonable
inquiry, that except for the identity of the employer concerned, the
terms and conditions of the proposed admission or continuance are the
same in all material respects as those imposed or not disapproved in
connection with a prior admission or continuance of the person subject
to the statutory disqualification pursuant to an order of the Commission
under paragraph (d) of this section or other substantially equivalent
written communication and that there is no intervening conduct or other
circumstance that would cause the employment to be inconsistent with the
public interest or the protection of investors;
(iii) The disqualification consists of (A) an injunction from
engaging in any action, conduct, or practice specified in section
15(b)(4)(C) of the Act, which injunction was entered 10 or more years
prior to the proposed admission or continuance--Provided, however, That
in the case of a final or permanent injunction which was preceded by a
preliminary injunction against the same person in the same court
proceeding, such ten-year period shall begin to run from the date of
such preliminary injunction--and/or (B) a finding by the Commission or a
self-regulatory organization of a willful violation of the Act, the
Securities Act of 1933, the Investment Advisers Act of 1940, the
Investment Company Act of 1940, or a rule or regulation under one or
more of such Acts and the sanction for such violation is no longer in
effect;
(iv) The disqualification previously (A) was a basis for the
institution of an administrative proceeding pursuant to a provision of
the federal securities laws, and (B) was considered by the Commission in
determining a sanction against such person in the proceeding; and the
Commission concluded in such proceeding that it would not restrict or
limit the future securities activities of such person in the capacity
now proposed or, if it imposed any such restrictions or limitations for
a specified time period, such time period has elapsed;
(v) The disqualification consists of a court order or
judgment of
injunction or conviction, and such order or judgment (A) expressly
includes a provision that, on the basis of such order or judgment, the
Commission will not institute a proceeding against such person pursuant
to section 15(b) or 15B of the Act or that the future securities
activities of such persons in the capacity now proposed will not be
restricted or limited or (B) includes such restrictions or limitations
for a specified time period and such time period has elapsed; or
(vi) In the case of a person seeking to become associated
with a
broker or dealer or municipal securities dealer, the Commission has
previously consented to such proposed association pursuant to section
15(b)(6) or 15B(c)(4) of the Act.
In the case of an admission to membership, participation, or
association, if an exception provided for in this paragraph (a)(3) is
applicable, the self-regulatory organization shall, pursuant to its
rules, determine when the admission to membership, participation, or
association shall become effective.
(4) If a self-regulatory organization determines to admit to,
or
continue any person in, membership, participation, or association with a
member pursuant to an exception from the notice requirements provided in
paragraph (a)(3)(ii), (iv) or (v) of this section, such organization
shall, within 14 calendar days of its making of such determination,
furnish to the Commission, by letter, a notification setting forth, as
appropriate:
(i) The name of the person subject to the statutory
disqualification;
(ii) The name of the person's prospective and immediately
preceding
employers who are (were) brokers or dealers or municipal securities
dealers;
(iii) The name of the person's prospective supervisor(s);
(iv) The respective places of such employments as reflected
on the
rec ords of the self-regulatory organization;
(v) If applicable, the findings of the self-regulatory
organization
referred to in paragraph (a)(3)(ii) of this section and the nature
(including relevant dates) of the previous Commission or court
determination referred to in paragraph (a)(3)(iv) or (v) of this
section; and
(vi) An identification of any other self-regulatory
organization
which has indicated its agreement with the terms and conditions of the
proposed admission or continuance;
(5) If a notice or notification has been previously filed or
furnished pursuant to this rule by a self-regulatory organization, any
other such organization need not file or furnish a separate notice or
notification pursuant to this rule with respect to the same matter if
such other organization agrees with the terms and conditions of the
membership, participation or association reflected in the notice or
notification so filed or furnished, and such agreement is set forth in
the notice or notification.
(6) The notice requirements of sections 6(c)(2), 15A(g)(2),
and
17A(b)(4)(A) of the Act concerning an action of a self-regulatory
organization subject to one (or more) of such sections and this
paragraph (a) shall be satisfied by a notice with respect to such action
filed in accordance with paragraph (c) of this section.
(7) The Commission, by written notice to a self-regulatory
organization on or before the thirtieth day after receipt of a notice
under this Rule, may direct that such organization not admit to
membership, participation, or association with a member any person who
is subject to a statutory disqualification for a period not to exceed an
additional 60 days beyond the initial 30 day notice period in order that
the Commission may extend its consideration of the proposal; Provided,
however, That during such extended period of consideration, the
Commission will not direct the self-regulatory organization to bar the
proposed admission to membership, participation or association with a
member pursuant to section 6(c)(2), 15A(g)(2), or 17A(b)(4)(A) of the
Act, and the Commission will not institute proceedings pursuant to
section 15(b) or 15B of the Act on the basis of such disqualification if
the self-regulatory organization has permitted the admission to
membership, participation or association with a member, on a temporary
basis, pending a final Commission determination.
(b) Preliminary notifications. Promptly after receiving an
application for admission to, or continuance in, participation or
membership in, or association with a member of, a self-regulatory
organization which would be required to file with the Commission a
notice thereof pursuant to paragraph (a) of this section if such
admission or continuance is ultimately proposed by such organization,
the organization shall file with the Commission a notification of such
receipt. Such notification shall include, as appropriate:
(1) The date of such receipt;
(2) The names of the person subject to the statutory
disqualification and the prospective employer concerned together with
their respective last known places of residence or business as reflected
on the records of the organization;
(3) The basis for any such disqualification including (if
based on a
prior adjudication) a copy of the order or decision of the court, the
Commission, or the self-regulatory organization which adjudicated the
matter giving rise to the disqualification; and
(4) The capacity in which the person concerned is proposed to
be
employed.
(c) Contents of notice of admission or continuance. A notice
filed
with the Commission pursuant to paragraph (a) of this section shall
contain the following, as appropriate:
(1) The name of the person concerned together with his last
known
place of residence or business as reflected on the records of the self-regulatory organization;
(2) The basis for any such disqualification from membership,
participation or association including (if based on a prior
adjudication) a copy of the order or decision of the court, the
Commission or the self-regulatory organization which adjudicated the
matter giving rise to such disqualification;
(3) In the case of an admission, the date upon which it is
proposed
by the organization that such membership, participation or association
shall become effective, which shall be not less than 30 days from the
date upon which the Commission receives the notice;
(4) A description by or on behalf of the person concerned of
the
activities engaged in by the person since the disqualification arose,
the prospective business or employment in which the person plans to
engage and the manner and extent of supervision to be exercised over and
by such person. This description shall be accompanied by a written
statement submitted to the self-regulatory organization by the proposed
employer setting forth the terms and conditions of such employment and
supervision. The description also shall include (i) the qualifications,
experience and disciplinary records of the proposed supervisors of the
person and their family relationship (if any) to that person; (ii) the
findings and results of all examinations conducted, during the two years
preceding the filing of the notice, by self-regulatory organizations of
the main office of the proposed employer and of the branch office(s) in
which the employment will occur or be subject to supervisory controls;
(iii) a copy of a completed Form U-4 with respect to the proposed
association of such person and a certification by the self-regulatory
organization that such person is fully qualified under all applicable
requirements to engage in the proposed activities; and (iv) the name and
place of employment of any other associated person of the proposed
employer who is subject to a statutory disqualification (other than a
disqualification specified in paragraph (a)(3)(iii) of this section);
(5) If a hearing on the matter has been held by the
organization, a
certified record of the hearing together with copies of any exhibits
introduced therein;
(6) All written submissions not included in a certified oral
hearing
record which were considered by the organization in its disposition of
the matter;
(7) An identification of any other self-regulatory
organization
which has indicated its agreement with the terms and conditions of the
proposed admission or continuance;
(8) All information furnished in writing to the
self-regulatory
organization by the staff of the Commission for consideration by the
organization in its disposition of the matter or the incorporation by
reference of such information, and a statement of the organization's
views thereon; and
(9) Such other matters as the organization or person deems
relevant.
If the notice contains assertions of material facts not a matter of
record before the self-regulatory organization, such facts shall be
sworn to by affidavit of the person or organization offering such facts
for Commission consideration. The notice may be accompanied by a brief.
(d) Application to the Commission for relief from certain
statutory
disqualifications. The filing of a notice pursuant to paragraph (a) of
this section shall neither affect nor foreclose any action which the
Commission may take with respect to such person pursuant to the
provisions of section 15(b), 15B or 19(h) of the Act or any rule
thereunder. Accordingly, a notice filed pursuant to paragraph (a) of
this section with respect to the membership, participation, or
association of any person subject to an ''applicable disqualification,''
as defined in paragraph (f) of this section, may be accompanied by an
application by or on behalf of the person concerned to the Commission
for an order declaring, as applicable, that notwithstanding such
disqualification, the Commission:
(1) Will not institute proceedings pursuant to section
15(b)(1)(B),
15(b)(4), 15(b)(6), 15B(a)(2), 15B(c)(2), 19(h)(2) or 19(h)(3) of the
Act if such person seeks to obtain or continue registration as a broker
or dealer or municipal securities dealer or association with a broker or
dealer or municipal securities dealer so registered, or membership or participation in a self-regulatory
organization;
(2) Will not direct otherwise, as provided in section
6(c)(2),
15A(g)(2) or 17A(b)(4)(A) of the Act; and
(3) Will deem such person qualified pursuant to Rule G-4 of
the
Municipal Securities Rulemaking Board under the Act.
If a Commission consent is required in order to render a proposed
association lawful under section 15(b)(6) or 15B(c)(4) of the Act, an
application by or on behalf of the person seeking such consent shall
accompany the notice of the proposed association filed pursuant to
paragraph (a) of this section. The Commission may, in its discretion and
subject to such terms and conditions as it deems necessary, issue such
an order and consent should the Commission determine not to object to
the position of the self-regulatory organization set forth in the notice
or application; Provided, however, That nothing herein shall foreclose
the right of any person, at his election, to apply directly to the
Commission for such consent, if he makes such application pursuant to
the terms of an existing order of the Commission under section 15(b)(6)
or 15B(c)(4) of the Act limiting his association with a broker or dealer
or municipal securities dealer but explicitly granting him such a right
to apply for entry or reentry at a later time.
(e) Contents of application to the Commission. An application
to the
Commission pursuant to paragraph (d) of this section shall consist of
the following, as appropriate:
(1) The name of the person subject to the disqualification
together
with his last known place of residence or business as reflected on the
records of the self-regulatory organization;
(2) A copy of the order or decision of the court, the
Commission or
the self-regulatory organization which adjudicated the matter giving
rise to such ''applicable disqualification'';
(3) The nature of the relief sought and the reasons therefor;
(4) A description of the activities engaged in by the person
since
the disqualification arose;
(5) A description of the prospective business or employment
in which
the person plans to engage and the manner and extent of supervision to
be exercised over and by such person. This description shall be
accompanied by a written statement submitted to the self-regulatory
organization by the proposed employer setting forth the terms and
conditions of such employment and supervision. The description also
shall include (i) the qualifications, experience, and disciplinary
records of the proposed supervisors of the person and their family
relationship (if any) to that person; (ii) the findings and results of
all examinations conducted, during the two years preceding the filing of
the application, by self-regulatory organizations of the main office of
the proposed employer and of the branch office(s) in which the
employment will occur or be subject to supervisory controls; (iii) a
copy of a completed Form U-4 with respect to the proposed association of
such person and a certification by the self-regulatory organization that
such person is fully qualified under all applicable requirements to
engage in the proposed activities; and (iv) the name and place of
employment of any other associated person of the proposed employer who
is subject to a statutory disqualification (other than a
disqualification specified in paragraph (a)(3)(iii) of this section);
(6) If a hearing on the matter has been held by the
organization, a
certified copy of the hearing record, together with copies of any
exhibits introduced therein;
(7) All written submissions not included in a certified oral
hearing
record which were considered by the organization in its disposition of
the matter;
(8) All information furnished in writing to the
self-regulatory
organization by the staff of the Commission for consideration by the
organization in its disposition of the matter or the incorporation by
reference of such information, and a statement of the organization's
views thereon; and
(9) Such other matters as the organization or person deems
relevant.
If the application contains assertions of material facts not a matter of
record before the organization, such facts shall be sworn to by
affidavit of the person or organization offering such facts for Commission consideration.
(f) Definitions. For purposes of this rule:
(1) The term applicable disqualification shall mean:
(i) Any effective order of the Commission pursuant to section
15(b)
(4) or (6), 15B(c) (2) or (4) or 19(h) (2) or (3) of the Act--
(A) Revoking, suspending or placing limitations on the
registration,
activities, functions, or operations of a broker or dealer;
(B) Suspending, barring, or placing limitations on the
association,
activities, or functions of an associated person of a broker or dealer;
(C) Suspending or expelling any person from membership or
participation in a self-regulatory organization; or
(D) Suspending or barring any person from being associated
with a
member of a national securities exchange or registered securities
association;
(ii) Any conviction of injunction of a type described in
section
15(b)(4) (B) or (C) of the Act; or
(iii) A failure under the provisions of Rule G-4 of the
Municipal
Securities Rulemaking Board under the Act, to meet qualifications
standards, and such failure may be remedied by a finding or
determination by the Commission pursuant to such rule(s) that the person
affected nevertheless meets such standards.
(2) The term control shall mean the power to direct or cause
the
direction of the management or policies of a company whether through
ownership of securities, by contract or otherwise; Provided, however,
That
(i) Any person who, directly or indirectly, (A) has the right
to
vote 10 percent or more of the voting securities, (B) is entitled to
receive 10 percent or more of the net profits, or (C) is a director (or
person occupying a similar status or performing similar functions) of a
company shall be presumed to be a person who controls such company;
(ii) Any person not covered by paragraph (i) shall be
presumed not
to be a person who controls such company; and
(iii) Any presumption may be rebutted on an appropriate
showing.
(g) Where it deems appropriate to do so, the Commission may
determine whether to (1) direct, pursuant to section 6(c)(2), 15A(g)(2)
or 17A(b)(4)(A) of the Act, that a proposed admission covered by a
notice filed pursuant to paragraph (a) of this section shall be denied
or an order barring a proposed association issued or (2) grant or deny
an application filed pursuant to paragraph (d) of this section on the
basis of the notice or application filed by the self-regulatory
organization, the person subject to the disqualification, or other
applicant (such as the proposed employer) on behalf of such person,
without oral hearing. Any request for oral hearing or argument should be
submitted with the notice or application.
(h) The Rules of Practice (17 CFR part 201) shall apply to
proceedings under this rule to the extent that they are not inconsistent
with this rule.
Regulatory History |
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46 FR 58661, Dec. 3, 1981, as amended at 48 FR 53691,
Nov. 29, 1983 |
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