LD 509
pg. 17
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LR 441
Item 1

 
(4)__An audited income statement for each of the issuer's
2 immediately previous fiscal years or for the period of
existence of the issuer, whichever is shorter, or, in the
case of a reorganization or merger when each party to the
reorganization or merger had audited income statements, a
pro forma income statement; and

 
E.__Any one of the following requirements is met:

 
(1)__The issuer of the security has a class of equity
securities listed on a national securities exchange
registered under Section 6 of the federal Securities
Exchange Act of 1934 or designated for trading on the
National Association of Securities Dealers Automated
Quotation System;

 
(2)__The issuer of the security is a unit investment
trust registered under the federal Investment Company
Act of 1940;

 
(3)__The issuer of the security, including its
predecessors, has been engaged in continuous business
for at least 3 years; or

 
(4) The issuer of the security has total assets of at
least $2,000,000 based on an audited balance sheet as
of a date within 18 months before the date of the
transaction or, in the case of a reorganization or
merger when the parties to the reorganization or merger
each had such an audited balance sheet, a pro forma
balance sheet for the combined organization;

 
3.__Nonissuer transactions in specified foreign transactions.__
A nonissuer transaction by or through a broker-dealer licensed
under or exempt from licensing under this chapter in a security
of a foreign issuer that is a margin security defined in
regulations or rules adopted by the Board of Governors of the
Federal Reserve System;

 
4.__Nonissuer transactions in securities where guarantor is
subject to Securities Exchange Act reporting.__A nonissuer
transaction by or through a broker-dealer licensed under or
exempt from licensing under this chapter in an outstanding
security if the guarantor of the security files reports with the
Securities and Exchange Commission under the reporting
requirements of Section 13 or 15(d) of the federal Securities
Exchange Act of 1934, 15 United States Code, Section 78m or
78o(d);


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