DAR File No.: 30259
Filed: 07/30/2007, 02:50
Received by: NLNOTICE OF REVIEW AND STATEMENT OF CONTINUATION
Concise explanation of the particular statutory provisions under which the rule is enacted and how these provisions authorize or require the rule:
Section 61-1-4 provides licensing and notice filing procedures. Section 61-1-5 provides postlicensing provisions. Section 61-1-6 provides information on denial, suspension, revocation, cancellation, or withdrawal of licenses. Section 61-1-24 provides that the division make rules necessary to carry out the provisions of the Act.
Summary of written comments received during and since the last five-year review of the rule from interested persons supporting or opposing the rule:
No written comments have been received.
Reasoned justification for continuation of the rule, including reasons why the agency disagrees with comments in opposition to the rule, if any:
The Utah Uniform Securities Act requires that to act as a broker-dealer, broker-dealer agent, issuer agent, investment adviser, or as an investment adviser representative, a person or entity must be appropriately licensed. Rule R164-4 provides the procedures and requirements for obtaining these licenses, and should be continued.
The full text of this rule may be inspected, during regular business hours, at the Division of Administrative Rules, or at:
Commerce
Securities
HEBER M WELLS BLDG
160 E 300 S
SALT LAKE CITY UT 84111-2316Direct questions regarding this rule to:
Charles Lyons at the above address, by phone at 801-530-6940, by FAX at 801-530-6980, or by Internet E-mail at clyons@utah.gov
Authorized by:
Wayne Klein, Director
Document Information
- Publication Date:
- 08/15/2007
- Filed Date:
- 07/30/2007
- Agencies:
- Commerce,Securities
- Authorized By:
- Wayne Klein, Director
- DAR File No.:
- 30259
- Related Chapter/Rule NO.: (1)
- R164-4. Licensing Requirements.