Private Placements of Securities
FINRA Regulatory Notice
FINRA is requesting comment on a new proposal to amend its Rule 5122, which requires certain disclosures to be made in private placements issued by broker-dealers. The amendments would expand the rule to reach all private placements in which a broker-dealer participates (i.e. not just those in which it is an issuer), and would eliminate a current exemption in the rule for broker-dealers acting in a "wholesaling" capacity.
Please contact any of the following Cadwalader attorneys if you have any questions about this item:
Steven Lofchie; [email protected]
Jeffrey Robins; [email protected]
Maurine Bartlett; [email protected]
Glen Barrentine; [email protected]
Document Number
FINRA RN 11-04
Date
January 11, 2011
Cross References (links may require a Cabinet subscription)
FINRA Rule 5122