R164-4-6. Notice Filing Requirements for Federal Covered Advisers  


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  • (A) Authority and purpose

    (1) The Division enacts this rule under authority granted by Sections 61-1-4 and 61-1-24.

    (2) This rule provides the notice filing requirements for federal covered advisers.

    (B) Definitions

    (1) "Division" means the Division of Securities, Utah Department of Commerce.

    (2) "SEC" means the United States Securities and Exchange Commission.

    (C) Notice Filings

    Federal covered advisers required to file notice filings pursuant to Subsection 61-1-4(2), must file with IARD the following:

    (1) an executed SEC Form ADV - Uniform Application for Investment Adviser Registration; and

    (2) a filing fee as specified in the Division's fee schedule.

    (D) Notice filing renewals

    (1) All notice filings expire on December 31 of each year.

    (2) To renew notice filings, a federal covered adviser must submit the following to IARD before December 31:

    (2)(a) a copy of the federal covered adviser's most recent SEC Form ADV; and

    (2)(b) a filing fee as specified in the Division's fee schedule.