Issuance and Registration of Securities (230-RICR-50-05-3)


230-RICR-50-05-3 ACTIVE RULE

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3.1Authority

3.2Purpose

3.3Severability Provisions

3.4Definitions

3.5Uniform Limited Offering Registration

3.6Federal Covered Securities – Notice Filing Requirements under Section 18(b)(2) of the Securities Act of 1933

3.7Federal Covered Securities – Notice Filing Requirements under Section 18(b)(3) of the Securities Act of 1933 (Reg. A+, Tier 2)

3.8Federal Covered Securities – Notice Filing Requirements under Section 18(b)(4)(F) of the Securities Act of 1933

3.9Form of Filing for Exemption

3.10Securities Manual

3.11Unsolicited Order

3.12Statutory Disqualification

3.13Exemption of Certain Securities from Registration

3.14Exemption for Offers and Sales to Accredited Investors

3.15Canadian Securities Exempt from Registration

3.16Consent to Service of Process


Title 230 Department of Business Regulation (includes the Office of the Health Insurance Commissioner)
Chapter 50 Securities, Franchises and Charities
Subchapter 05 Securities
Part 3 Issuance and Registration of Securities (230-RICR-50-05-3)
Type of Filing Periodic Refile
Regulation Status Active
Effective 01/04/2022

Regulation Authority:

R.I. Gen. Laws § 7-11-705

Purpose and Reason:

This rule is being refiled by the agency pursuant to R.I. Gen. Laws § 42-35-4.1.  No changes were made to the text of this rule.