TITLE 14: COMMERCE
SUBTITLE A: REGULATION OF BUSINESS CHAPTER I: SECRETARY OF STATE
PART 130
REGULATIONS UNDER ILLINOIS SECURITIES LAW OF 1953
SECTION 130.APPENDIX C UNIFORM APPLICATION FOR BROKER-DEALER REGISTRATION
Section 130.APPENDIX C Uniform
Application for Broker-Dealer Registration
FORM BD
Page 1
(Execution Page)
(Revised 6-88)
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UNIFORM APPLICATION
FOR BROKER-DEALER REGISTRATION
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OFFICIAL USE
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WARNING
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Failure
to keep this form current and to file accurate supplementary information on a
timely basis, or the failure to keep accurate books and records or otherwise
to comply with the provisions of law applying to the conduct of business as a
broker-dealer would violate the Federal securities laws and the laws of the
jurisdictions and may result in disciplinary, administrative, injunctive or
criminal action.
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INTENTIONAL
MISSTATEMENTS OR OMISSIONS OF THE FACTS MAY CONSTITUTE CRIMINAL VIOLATIONS
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APPLICATION
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AMENDMENT
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FIRM
CRD NO.
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1.
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Exact
name, principal business address, mailing address, if different, and
telephone number of applicant:
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A.
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Full
name of applicant (If sole proprietor, state last, first, and middle name)
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B.
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IRS
Empl. Ident. No.:
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C.
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Name
under which business is conducted, if different:
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D.
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If
name of business is hereby amended, state previous name:
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E.
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Firm
main address:
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(Number and Street)
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(City)
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(State)
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(Zip Code)
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Mailing
Address, if different:
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F.
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Telephone
Number:
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G.
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(Area Code)
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(Telephone Number)
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CONTACT EMPLOYEE
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EXECUTION: For the purpose of complying with
the laws of the State(s) designated in Item 2 relating to either the offer or
sale of securities or commodities, the undersigned and applicant hereby
certify that the applicant is in compliance with applicable state surety
bonding requirements and irrevocably appoint the administrator of each of
those State(s) or such other person designated by law, and the successors in
such office, attorney for the applicant in said State(s) upon whom may be
served any notice, process, or pleading in any action or proceeding against
the applicant arising out of or in connection with the offer or sale of
securities or commodities, or out of the violation or alleged violation of
the laws of those State(s), and the applicant hereby consents that any such
action or proceeding against the applicant may be commenced in any court of
competent jurisdiction and proper venue within said State(s) by service of
process upon said appointee with the same effect as if applicant were a
resident in said State(s) and had lawfully been served with process in said
State(s).
The applicant consents that service of any
civil action brought by or notice of any proceeding before the Securities and
Exchange Commission or any self-regulatory organization in connection with
the applicant's broker-dealer activities, or of any application for a
protective decree filed by the Securities Investor Protection Corporation,
may be given by registered or certified mail or confirmed telegram to the
applicant's contact employee at the main address, or mailing address if
different, given in Item 1G.
The undersigned, being first duly sworn,
disposes and says that he has executed this form on behalf of, and with the
authority of, said applicant. The undersigned and applicant represent that
the information and statements contained herein, including exhibits attached
hereto and other information filed herewith, all of which are made a part
hereof, are current, true, and complete. The undersigned and applicant
further represent that to the extent any information previously submitted is
not amended, such information is currently accurate and complete.
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Date
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Name of Applicant
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By:
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Signature and Title
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Subscribed
and sworn before me this
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day of
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19
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by
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My commission expires
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County of
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State of
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This page must always
be completed in full with original, manual signature and notarization.
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To amend, circle
item(s) being amended.
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DO NOT WRITE BELOW
THIS LINE . . . . FOR OFFICIAL USE ONLY
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To amend, circle
question numbers amended and file with a completed Execution page (Page 1).
FORM BD
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Page 2
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OFFICIAL USE
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Applicant
Name
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Date
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From CRD No.:
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2.
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To
be registered with the following (designate) "1" Initial Registration,
"2" Pending, "3" Already Registered. If any license,
registration or membership listed herein is of a restricted nature, explain
fully on Schedule D.
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SECURITIES &
EXCHANGE COMMISSION
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SRO
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ASE
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BSE
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CBOE
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CSE
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MSE
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NASD
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NYSE
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PHLX
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PSE
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OTHER
(Specify)
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JURISDICTION
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AL
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AK
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AZ
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AR
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CA
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CO
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CT
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DE
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DC
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FL
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GA
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HI
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ID
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IL
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IN
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IA
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KS
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KY
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LA
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ME
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MD
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MA
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MI
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MN
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MS
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MO
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MT
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NE
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NV
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NH
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NJ
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NM
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NY
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NC
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ND
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OH
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OK
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OR
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PA
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RI
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SC
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SD
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TN
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TX
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UT
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VT
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VA
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WA
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WV
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WI
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WY
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PR
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3.
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Date
of formation
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Applicant's
fiscal year ends
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Place of filing
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for
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(MM/DD/YY)
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(MM/DD/YY)
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Corporation - Complete
Schedule A
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Partnership - Complete
Schedule B
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Sole Proprietorship -
Complete Schedule C
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Other
(Specify)
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Complete
Schedule C
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4.
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If
applicant is a sole proprietor, state full residence address and social
security number.
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Social Security No.:
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(Number and Street)
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(City)
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(State)
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(Zip Code)
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5.
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Is
applicant a successor to a registered broker-dealer?
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YES
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NO
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If
"yes", explain on Schedule D
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If
"yes", state
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A.
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Date
of succession
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B.
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Full
Name, IRS Empl Ident No. SEC File No. and Firm CRD No. of predecessor
broker-dealer
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Name
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IRS
Empl Ident No
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FIRM
CRD No
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SEC
File Number
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6.
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A.
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Does any person not named in Item 1 of
Schedules A, B or C, directly or indirectly through agreement or otherwise,
exercise or have the power to exercise control over the management or
policies of applicant?.................................................................................................................
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YES
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NO
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1
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(If yes, state on Schedule D the exact name
of each person (if individual, state last, first, and middle names) and describe
the agreement or other basis through which such person exercises or has the
power to exercise control)
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B.
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Is the business of applicant wholly or
partially financed, directly or indirectly, by any person not named in Item
1, or Schedules A, B or C in any manner
other than by (1) a public offering of securities made pursuant to the
Securities Act of 1933. (2) credit extended in the ordinary course of
business by suppliers, banks and others, or a satisfactory subordination agreement as defined in Rule
15c3-1 under the Securities Exchange Act of 1934 (17 CFR 240 15c3-1)?...............................................................................
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YES
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NO
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2
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(If yes, state on Schedule D the exact name
(last, first, middle) of each person and describe the agreement or
arrangement through which such financing is made available, including the
amount thereof).
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To amend, circle
question numbers amended and file with a completed Execution page (Page 1).
FORM BD
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Page 3
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OFFICIAL USE
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Applicant
Name:
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Date:
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Firm CRD No.:
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7.
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Definitions
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Control affiliate – An individual or
firm that directly or indirectly controls, is under common control with, or
is controlled by the applicant. Included are any employees identified
in Schedules A, B or C of this form as exercising control. Excluded
are any employees who perform clerical, administrative, support or similar
functions; or who, regardless of title, perform no executive duties or have
no senior policy making authority.
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Investment or investment-related – Pertaining to
securities, commodities, banking, insurance, or real estate (including, but
not limited to, acting as or being associated with a broker-dealer,
investment company, investment adviser, futures sponsor, bank, or savings and
loan association).
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Involved – Doing an act or aiding, abetting,
counseling, commanding, inducing, conspiring with or failing reasonably to
supervise another in doing an act.
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A.
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In
the past ten years has the applicant or control affiliate been convicted of
or pleaded guilty or nolo contendere ("no contest") to:
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(1)
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a
felony or misdemeanor involving:
investment
or an investment-related business,
fraud,
false statements or omissions,
wrongful
taking of property, or
bribery,
forgery, counterfeiting or extortion?.......................................................................
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YES
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NO
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3
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YES
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NO
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(2)
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any
other felony? ..........................................................................................................
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4
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B.
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Has
any court:
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(1)
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in
the past ten years enjoined the applicant or a control affiliate in
connection with any investment-related activity?..............................................................................................
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YES
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NO
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5
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(2)
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ever
found that the applicant or a control affiliate was involved in a violation
of investment- related statutes or regulations?.........................................................................................
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YES
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NO
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6
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C.
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Has the U.S. Securities and Exchange Commission or the
Commodity Futures Trading Commission ever:
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YES
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NO
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(1)
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found
the applicant or a control affiliate to have made a false statement or
omission?...............
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7
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(2)
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found the applicant or a
control affiliate to have been involved in a violation of its regulations or
statutes?........................................................................................................................
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YES
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NO
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8
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(3)
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found the applicant or a control affiliate to
have been a cause of an investment-related business having its authorization
to do business denied, suspended, revoked or restricted?.....................................................................................................................
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YES
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NO
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9
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(4)
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entered an order
denying, suspending or revoking the applicant's or a control affiliate's
registration
or otherwise disciplined it by restricting its activities?............................................
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YES
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NO
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10
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D.
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Has
any other Federal regulatory agency or any state regulatory agency:
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(1)
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ever found the applicant or a control
affiliate to have made a false statement or omission or been dishonest
unfair, or unethical?...............................................................................
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YES
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NO
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11
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(2)
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ever found the applicant
or a control affiliate to have been involved in a violation of investment
regulations
or statutes?.....................................................................................................
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YES
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NO
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12
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(3)
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ever found the applicant
or a control affiliate to have been a cause of an investment-related business
having its
authorization to do business denied, suspended, revoked, or restricted?.....................................................................................................................
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YES
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NO
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13
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(4)
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in the past ten years
entered an order against the applicant or a control affiliate in connection
with investment-related
activity?...............................................................................................
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YES
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NO
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14
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(5)
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ever denied, suspended,
or revoked the applicant's or a control affiliate's registration or license,
prevented it from associating with an investment-related business, or
otherwise disciplined it by restricting its activities?.......................................................................................................
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YES
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NO
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To amend, circle
question numbers amended and file with a completed Execution page (Page 1).
FORM BD
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Page 4
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OFFICIAL USE
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Applicant
Name:
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Date:
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Firm
CRD No.:
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(6)
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ever revoked or suspended
the applicant's or a control affiliate's license as an attorney or accountant?.....................................................................................................................
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YES
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NO
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16
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E.
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Has any self-regulatory organization or commodities
exchange ever:
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YES
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NO
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(1)
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found
the applicant or a control affiliate to have made a false statement or
omission?.................
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17
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YES
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NO
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(2)
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found the applicant or a control affiliate to have
been involved in a violation of its rules?.........................
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18
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(3)
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found the applicant or a control affiliate to
have been the cause of an investment-related business having its
authorization to do business denied, suspended, revoked or restricted?........
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YES
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NO
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19
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(4)
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disciplined the
applicant or a control affiliate by expelling or suspending it from
membership, by barring
or suspending its association with other members, or by otherwise restricting
its activities?...................................................................................................................
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YES
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NO
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20
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YES
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NO
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F.
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Has any foreign government, court, regulatory
agency, or exchange ever entered an order against the applicant or a control affiliate related to investments or
fraud?.........................................
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21
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YES
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NO
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G.
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Is the applicant or a control affiliate now
the subject of any proceeding that could result in a "yes" answer
to parts A-F of this item?.........................................................................................
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22
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YES
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NO
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H.
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Has
a bonding company denied, paid out on, or revoked a bond for the applicant?.............................
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23
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YES
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NO
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I.
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Does
the applicant have any unsatisfied judgments or liens against it?.............................................
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24
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J.
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Has the applicant or a control affiliate of
the applicant ever been a securities firm or a control affiliate of a securities
firm that has been declared bankrupt, had a trustee appointed under the
Securities Investor Protection Act, or had a direct payment procedure begun?...................................
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YES
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NO
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25
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ITEM
7 INSTRUCTIONS
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If a "yes" answer on Item 7
involves:
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the
applicant broker-dealer, or an individual without a Form U-4 (individual
registration) in the CRD,
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give
the details on Schedule D.
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an
individual with a Form U-4 (individual registration) in the CRD, attach any
necessary Form U-4
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amendments
to the Form BD. The CRD will update the Forms U-4 and BD.
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For
each "yes" to Item 7, give the following details of any court or
regulatory action:
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the
broker-dealer and individuals named,
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the
title and date of the action,
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the
court or body taking the action, and
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a
description of the action.
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8.
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Does
applicant:
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A.
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Have
any arrangement with any other person, firm or organization under which:
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YES
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NO
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(1)
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Any of the accounts or records of applicant
are kept or maintained by such person, firm or organization?...............................................................................................................
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26
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(2)
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Such other person, firm or organization
(other than a bank or satisfactory control location as defined in paragraph
(c) of Rule 15c3-3 under the Securities Exchange Act of 1934, 17 CFR
240.15c3-3) holds or maintains funds or securities of applicant or of any of
its customers?.....................................................................................................................
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YES
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NO
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27
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YES
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NO
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B.
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Have any arrangements with any other broker
or dealer under which applicant refers or introduces customers to such other
broker or dealer?....................................................................
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28
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(If the answer to any question of Item 8 is
"yes", furnish as to each such arrangement the full name and
principal business address of the other person, firm, organization, and the
summary of each such arrangement on Schedule D.)
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To amend, circle question
numbers amended and file with a completed Execution page (Page 1).
FORM BD
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Page 5
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OFFICIAL USE
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Applicant
Name:
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Date:
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Firm
CRD No.:
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YES
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NO
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9.
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Does applicant control,
is applicant controlled by, or is applicant under common control with,
directly or indirectly, any partnership, corporation, or other organization
engaged in the securities or investment advisory business? ............
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29
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(If "yes," state
full name and principal business address of such partnership, corporation, or
other organization and describe
the nature of control on Schedule D. See instructions for definition of
control.)
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10.
|
Check types of business engaged in (or to be engaged
in, if not yet active) by applicant. Do not check any category which accounts
for
or is expected to account for less than 10% of annual
revenue from the securities or investment advisory business.
|
|
A.
|
Exchange
member engaged in exchange commission business ...................................................................
|
|
EMC
|
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|
B.
|
Exchange
member engaged in floor activities ............................................................................................
|
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EMF
|
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|
|
C.
|
Broker
or dealer making inter-dealer markets in corporate securities
over-the-counter .....................................
|
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IDM
|
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|
|
D.
|
Broker
or dealer retailing corporate securities over-the-counter .....................................................................
|
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BDR
|
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|
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E.
|
Underwriter
or selling group participant (corporate securities other than mutual funds ......................................
|
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USG
|
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F.
|
Mutual
fund underwriter or sponsor ..........................................................................................................
|
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MFU
|
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G.
|
Mutual
fund retailer ................................................................................................................................
|
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MFR
|
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H.
|
1.
U.S. government securities dealer .......................................................................................................
|
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GSD
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|
2.
U.S. government securities broker .......................................................................................................
|
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GSB
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I.
|
Municipal
securities dealer ......................................................................................................................
|
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MSD
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J.
|
Municipal
securities broker ......................................................................................................................
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MSB
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K.
|
Broker
or dealer selling variable life insurance or annuities...........................................................................
|
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VLA
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L.
|
Solicitor
of savings and loan accounts.......................................................................................................
|
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SSL
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M.
|
Real
estate syndicator.............................................................................................................................
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RES
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N.
|
Broker
or dealer selling oil and gas interests...............................................................................................
|
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OGI
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O.
|
Put
and call broker or dealer or option writer...............................................................................................
|
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PCB
|
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P.
|
Broker or dealer selling securities of only one issuer
or associated issuers (other than mutual funds)...........................
|
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BIA
|
|
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|
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Q.
|
Broker
or dealer selling securities of non-profit organizations (e.g., churches,
hospitals)....................................
|
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NPB
|
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|
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R.
|
Investment
advisory services...................................................................................................................
|
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IAD
|
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S.
|
Broker
or dealer selling tax shelters or limited partnerships...........................................................................
|
|
TAP
|
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|
|
T.
|
Other
(give details on Schedule D)............................................................................................................
|
|
OTH
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|
|
To amend, circle
question numbers amended and file with a completed Execution page (Page 1).
FORM BD
|
Page 6
|
|
|
OFFICIAL USE
|
Applicant
Name:
|
|
|
|
|
|
Date:
|
|
Firm CRD No.:
|
|
|
|
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|
|
YES
|
|
NO
|
|
|
|
11.
|
A.
|
Does applicant effect
transactions in commodity futures, commodities, or commodity options as a
broker for others
or dealer for its own account?.......................................................................................
|
|
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|
|
30
|
|
|
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|
|
|
YES
|
|
NO
|
|
|
|
|
B.
|
Does applicant engage in any other
non-securities business? (If "yes," describe each other business
briefly on Schedule D.) ................................................................................................
|
|
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|
31
|
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|
YES
|
|
NO
|
|
|
|
12.
|
Is applicant applying
for or continuing an existing registration solely as a government securities
broker or dealer?.............................................................................................................................................
|
|
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|
|
|
32
|
|
|
13.
|
Notice
of Government Securities Activities
|
|
|
|
|
|
YES
|
|
NO
|
|
|
|
|
A.
|
Is applicant acting or
intending to act as a government securities broker or dealer in addition to
other broker-dealer
activities? (Do not answer "Yes" if applicant answered
"yes" to Question 12.).................
|
|
|
|
|
|
33
|
|
|
|
|
|
|
YES
|
|
NO
|
|
|
|
|
B.
|
Is applicant ceasing its
activities as a government securities broker or dealer? (Do not answer
"Yes" unless previously answered "yes" to Question 13A.)......................................................................
|
|
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|
|
34
|
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|
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|
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|
|
|
To amend, complete the
schedule in full in accordance with the instructions below and file with a
completed Execution page (Page 1).
|
Schedule
A of FORM BD
|
Official Use
|
|
|
|
|
|
|
|
|
FOR
CORPORATIONS
|
|
|
|
|
|
Applicant
Name
|
|
|
|
|
|
(Answers
in response to Item 3 of Form BD.)
|
Date:
|
|
Firm CRD No.:
|
|
|
|
|
|
1.
|
This
form requests information on the owners and executive officers of the
applicant.
|
|
2.
|
Please
complete for:
|
|
|
A.
|
each
Chief Executive Officer, Chief Financial Officer, Chief Operations Officer,
Chief Legal Officer, Chief Compliance Officer, director, and individuals with
similar status or functions, and
|
|
|
B.
|
every
person who is directly, or indirectly through intermediaries, the beneficial
owner of 5% or more of any class of equity security of the applicant.
|
|
3.
|
If
a person covered by 2(B) above owns applicant indirectly through
intermediaries, list all intermediaries and below them, if they are not
public reporting companies under Sections 12 or 15(d) of the Securities
Exchange Act of 1934 but are:
|
|
|
A.
|
corporations,
give their shareholders who own 5% or more of a class of equity security, or
|
|
|
|
B.
|
partnerships,
give their general partners or any limited special partners who have
contributed 5% or more of the partnership's capital.
|
|
4.
|
If
the intermediary's shareholders or partners listed under 3 above are not
individuals, continue up the chain of ownership listing their 5%
shareholders, general partners, and 5% limited or special partners until
individuals are listed.
|
|
5.
|
Ownership
codes are:
|
NA
– 0 up to 5%
|
B
– 10% up to 25%
|
D
– 50% up to 75%
|
|
|
|
|
A
– 5% up to 10%
|
C
– 25% up to 50%
|
E
– 75% up to 100%
|
|
6.
|
Asterisk
(*) names reporting a change in title, status, stock ownership, partnership
interest, or control. Double asterisk (**) names new on this filing.
|
|
7.
|
Check
"Control Person" column if person has "control" as
defined in the instructions to this form.
|
|
|
8.
|
Applicants
indicating an options business in Item 10 must enter "SROP" for
their Senior Registered Options Principal and "CROP" for their
Compliance Registered Options Principal in the "Title or Status"
column.
|
|
FULL
NAME
|
Beginning Date
|
Title
or
Status
|
Ownership Code
|
Control Person
|
CRD Number or, if
none, Social Security Number
|
Official Use Only
|
|
Last
|
First
|
Middle
|
|
Mo.
|
Yr.
|
|
|
|
|
|
|
|
|
|
|
01
|
|
|
|
|
|
|
|
|
|
|
02
|
|
|
|
|
|
|
|
|
|
|
03
|
|
|
|
|
|
|
|
|
|
|
04
|
|
|
|
|
|
|
|
|
|
|
05
|
|
|
|
|
|
|
|
|
|
|
06
|
|
|
|
|
|
|
|
|
|
|
07
|
|
|
|
|
|
|
|
|
|
|
08
|
|
|
|
|
|
|
|
|
|
|
09
|
|
|
|
|
|
|
|
|
|
|
10
|
|
|
|
|
|
|
|
|
|
|
11
|
|
|
|
|
|
|
|
|
|
|
12
|
|
List
below the names reported in the most recent previous filing under this item
that are being deleted:
|
|
|
FULL NAME
|
|
Ending Date
|
CRD
Number or, if none, Social Security Number
|
|
Last
|
First
|
Middle
|
Mo.
|
Yr.
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
To
amend, complete the schedule in full in accordance with the instructions below
and file with a completed Execution page (Page 1).
|
Schedule
B of FORM BD
|
Official Use
|
|
|
|
|
|
|
|
|
|
FOR
PARTNERSHIPS
|
|
|
|
Applicant
Name
|
|
|
|
|
|
(Answers
in response to Item 3 of Form BD.)
|
Date:
|
|
Firm CRD No.:
|
|
|
|
|
|
|
1.
|
This
form requests information on the owners and executive officers of the
applicant.
|
|
2.
|
Please
complete for all general partners and those limited and special partners who
have contributed directly, or indirectly through intermediaries, 5% or more
of the partnership's capital.
|
|
3.
|
If
a person covered by 2 above owns applicant indirectly through intermediaries,
list all intermediaries and below them, if they are not public reporting
companies under Sections 12 or 15(d) of the Securities Exchange Act of 1934
but are:
|
|
|
A.
|
corporations,
give their shareholders who own 5% or more of a class of equity security, or
|
|
|
B.
|
partnerships,
give their general partners or any limited special partners who have
contributed 5% or more of the partnership's capital.
|
|
4.
|
If
the intermediary's shareholders or partners listed under 3 above are not
individuals, continue up the chain of ownership listing their 5%
shareholders, general partners, and 5% limited or special partners until
individuals are listed.
|
|
5.
|
Ownership
codes are:
|
NA
– 0 up to 5%
|
B
– 10% up to 25%
|
D
– 50% up to 75%
|
|
|
|
|
A
– 5% up to 10%
|
C
– 25% up to 50%
|
E
– 75% up to 100%
|
|
6.
|
Asterisk
(*) names reporting a change in title, status, stock ownership, partnership
interest, or control. Double asterisk (**) names new on this filing.
|
|
7.
|
Check
"Control Person" column if person has "control" as
defined in the instructions to this form.
|
|
8.
|
Applicants
indicating an options business in Item 10 must enter "SROP" for
their Senior Registered Options Principal and "CROP" for their
Compliance Registered Options Principal in the "Title or Status"
column.
|
|
FULL NAME
|
Beginning Date
|
Title
or
Status
|
Ownership Code
|
Control Person
|
CRD Number or, if
none, Social Security Number
|
Official Use Only
|
|
Last
|
First
|
Middle
|
|
Mo.
|
Yr.
|
|
|
|
|
|
|
|
|
|
|
01
|
|
|
|
|
|
|
|
|
|
|
02
|
|
|
|
|
|
|
|
|
|
|
03
|
|
|
|
|
|
|
|
|
|
|
04
|
|
|
|
|
|
|
|
|
|
|
05
|
|
|
|
|
|
|
|
|
|
|
06
|
|
|
|
|
|
|
|
|
|
|
07
|
|
|
|
|
|
|
|
|
|
|
08
|
|
|
|
|
|
|
|
|
|
|
09
|
|
|
|
|
|
|
|
|
|
|
10
|
|
|
|
|
|
|
|
|
|
|
11
|
|
|
|
|
|
|
|
|
|
|
12
|
|
List
below the names reported in the most recent previous filing under this item
that are being deleted:
|
|
|
FULL NAME
|
|
Ending Date
|
CRD
Number or, if none,
|
|
Last
|
First
|
Middle
|
Mo.
|
Yr.
|
Social
Security Number
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
To amend, complete the
schedule in full in accordance with the instructions below and file with a
completed Execution page (Page 1).
|
Schedule
C of FORM BD
|
Official
Use
|
|
|
|
|
|
|
FOR
APPLICANTS OTHER THAN
|
|
|
PARTNERSHIPS
AND CORPORATIONS
|
|
Applicant Name:
|
|
|
|
(Answers
in response to Item 3 of Form BD.)
|
Date:
|
|
Firm CRD No.:
|
|
|
|
|
1.
|
This
form requests information on the owners and executive officers of the
applicant.
|
2.
|
Please
complete for each person, including trustees, who participates in directing
or managing the applicant.
|
3.
|
Give
each listed person's title or status, and describe the nature of their
authority and their beneficial interest in applicant. Sole proprietors must
be identified in the "Title or Status" column.
|
4.
|
Asterisk
(*) names reporting a change in title, status, stock ownership or partnership
interest. Double asterisk (**) names new on this filing.
|
5.
|
Applicants
indicating an options business in Item 10 must enter "SROP" for
their Senior Registered Principal and "CROP" for their Compliance
Registered Options Principal in the "Title or Status" column.
|
FULL NAME
|
RELATIONSHIP
|
CRD Number or, if
none, Social Security Number
|
Description of
Authority and Beneficial Interest
|
Beginning Date
|
Title or Status
|
Last
|
First
|
Middle
|
Mo.
|
Yr.
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
List
below the names reported in the most recent previous filing under this item
that are being deleted:
|
FULL NAME
|
Ending Date
|
CRD
Number or, if none, Social Security Number
|
Last
|
First
|
Middle
|
Mo.
|
Yr.
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
When amending Form BD,
provide complete detail for the Item(s) being amended. File with a completed
Execution page (Page 1).
|
Schedule
D of FORM BD
|
Official Use
|
|
|
|
|
|
|
|
Applicant
Name:
|
|
|
|
|
Date:
|
|
Firm CRD No.:
|
|
|
(Use
this Schedule to report details of affirmative responses to questions on Form
BD.)
|
Item of Form (Identify)
|
Answer
|
|
|
|
|
|
|
|
|
|
|
|
|
Schedule
E of FORM BD
|
Applicant Name:
|
|
|
|
|
Date:
|
|
Firm CRD No.:
|
|
|
INSTRUCTIONS
FOR SCHEDULE E: Initial filings must report all business locations other
than the main office. Amendments must include only those branch offices to
be added or amended. Complete addresses, including zip code, are to be
listed at all times.
|
Use
the following codes in the Nature of Change Column:
|
|
To
request registration of a new branch office, enter "A".
|
|
To
report a branch office closing, enter "B".
|
|
To report a change of
address list the old address immediately followed by the new address; enter
"C" next to the old address and "D" next to the new
address.
|
|
To
report a change in supervisor, enter "S".
|
Place
one asterisk (*) under the OSJ column to report designation of a branch as an
office of supervisory jurisdiction.
|
Place
a double asterisk (**) under the OSJ column to eliminate designation of a
branch as an office of supervisory jurisdiction.
|
|
Complete Address
of Branch Office
|
|
Name and CRD No.
of Supervisor
|
|
OSJ
|
|
Nature of
Change
|
|
Effective
Date
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
(Source: Added at 14 Ill. Reg. 884, effective December 30, 1989)
|