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Massachusetts Provides A Private Fund Adviser Exemption - Finance and Banking


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Q: I would like to create and manage a fund for
investments in various securities of public and private companies
in Massachusetts. Do I need to register as an investment adviser
with the Securities and Exchange Commission ( SEC ) and
the Massachusetts Securities Division?
A: The SEC and the Massachusetts Securities
Division considers an investment adviser to be any person who, for
compensation, renders investment advice or provides financial
planning services that includes investment advice about the
advisability of investing in, purchasing, or selling securities. ....

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New Registration And Examination Requirements For New York Investment Adviser Representatives | Lowenstein Sandler LLP


What You Need To Know:
Personnel for certain investment advisers and solicitors with natural person clients in New York will have to meet new registration and examination requirements.
Affected persons must be approved before December 2, 2021, to continue conducting investment advisory business in New York state.
Effective February 1, 2021, amendments to the New York Investment Advisory Act (the “Amendments”) require supervised persons representing certain New York-registered investment advisers, and, to a lesser degree, investment advisers registered with the Securities and Exchange Commission (“SEC”), to register with the New York Department of Law’s Investor Protection Bureau (the “Department”) and meet new examination requirements. These supervised persons, called investment adviser representatives, have until August 31, 2021 to meet the new requirements and must have their registration approved before December 2, 2021 to continue operating within New ....

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NY Adopts New Investment Registration and Examination Requirements


Thursday, January 28, 2021
Key Points
Beginning February 1, new and amended rules will go into effect in New York that require certain individuals associated with investment advisers to register with the state and to meet examination requirements (or qualify for exemptions therefrom).
With respect to investment advisers registered with the Securities and Exchange Commission (SEC), these new registration and examination requirements will only apply to individuals who meet the federal definition of an investment adviser representative, while a broader range of persons associated with New York State-registered investment advisers will be subject to those requirements.
In addition, New York will now impose registration and examination requirements with respect to entities and individuals that qualify as solicitors, as defined in the state s revised rules. ....

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New York Adopts New Registration and Examination Requirements for Certain Investment Adviser Related Personnel and Solicitors | Katten Muchin Rosenman LLP


Key Points
Beginning February 1, new and amended rules will go into effect in New York that require certain individuals associated with investment advisers to register with the state and to meet examination requirements (or qualify for exemptions therefrom).
With respect to investment advisers registered with the Securities and Exchange Commission (SEC), these new registration and examination requirements will only apply to individuals who meet the federal definition of an investment adviser representative, while a broader range of persons associated with New York State-registered investment advisers will be subject to those requirements.
In addition, New York will now impose registration and examination requirements with respect to entities and individuals that qualify as solicitors, as defined in the state s revised rules. ....

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