Kansas Statutes
Article 12a - Uniform Securities Act
17-12a,406 Registration by broker-dealer, agent, investment adviser and investment adviser representative.

17-12a406. Registration by broker-dealer, agent, investment adviser and investment adviser representative. (a) Application for initial registration. A person shall register as a broker-dealer, agent, investment adviser, or investment adviser representative by filing an application and a consent to service of process complying with K.S.A. 17-12a611, and amendments thereto, and paying the fee specified in K.S.A. 17-12a410, and amendments thereto, and any reasonable fees charged by the designee of the administrator for processing the filing. The application must contain:
(1) The information or record required for the filing of a uniform application; and
(2) upon request by the administrator, any other financial or other information or record that the administrator determines is appropriate.
(b) Amendment. If the information or record contained in an application filed under subsection (a) is or becomes inaccurate or incomplete in a material respect, the registrant shall promptly file a correcting amendment.
(c) Effectiveness of registration. If the administrator finds that the applicant and, if applicable, the officers, directors or partners of the applicant are of sufficient character and reputation to warrant the public trust, and an order is not in effect and a proceeding is not pending under K.S.A. 17-12a412, and amendments thereto, registration becomes effective at noon on the 45th day after a completed application is filed, unless the registration is denied or the administrator has given written notice of deficiencies that are unresolved and that would constitute grounds for denial under K.S.A. 17-12a412, and amendments thereto. A rule adopted or order issued under this act may set an earlier effective date or may defer the effective date until noon on the 45th day after the filing of any amendment completing the application.
(d) Registration renewal. A registration is effective until midnight on December 31 of the year for which the application for registration is filed. Unless an order is in effect under K.S.A. 17-12a412, and amendments thereto, a registration may be automatically renewed each year by filing such records as are required by rule adopted or order issued under this act, by paying the fee specified in K.S.A. 17-12a410, and amendments thereto, and by paying costs charged by the designee of the administrator for processing the filings.
(e) Additional conditions or waivers. A rule adopted or order issued under this act may impose other conditions not inconsistent with the national securities markets improvement act of 1996. An order issued under this act may waive, in whole or in part, specific requirements in connection with registration as are in the public interest and for the protection of investors.
History: L. 2004, ch. 154, § 23; L. 2006, ch. 47, § 5; July 1.

Structure Kansas Statutes

Kansas Statutes

Chapter 17 - Corporations

Article 12a - Uniform Securities Act

17-12a,101 Citation of act.

17-12a,102 Definitions.

17-12a,103 References to federal statutes.

17-12a,104 References to federal agencies.

17-12a,105 Electronic records and signatures.

17-12a,201 Exempt securities.

17-12a,202 Exempt transactions.

17-12a,203 Additional exemptions and waivers.

17-12a,204 Denial, suspension, revocation, condition or limitation of exemptions.

17-12a,205 Exemption filing fees.

17-12a,301 Securities registration requirement.

17-12a,302 Notice filing.

17-12a,303 Securities registration by coordination.

17-12a,304 Securities registration by qualification.

17-12a,305 Securities registration filings.

17-12a,306 Denial, suspension and revocation of securities registration.

17-12a,307 Waiver and modification.

17-12a,401 Broker-dealer registration requirement and exemptions.

17-12a,402 Agent registration requirement and exemptions.

17-12a,403 Investment adviser registration requirement and exemptions.

17-12a,404 Investment adviser representative registration requirement and exemptions.

17-12a,405 Federal covered investment adviser notice filing requirement.

17-12a,406 Registration by broker-dealer, agent, investment adviser and investment adviser representative.

17-12a,407 Succession and change in registration of broker-dealer or investment adviser.

17-12a,408 Termination of employment or association of agent and investment adviser representative and transfer of employment or association.

17-12a,409 Withdrawal of registration of broker-dealer, agent, investment adviser and investment adviser representative.

17-12a,410 Filing fees.

17-12a,411 Postregistration requirements.

17-12a,412 Denial, revocation, suspension, withdrawal, restriction, condition or limitation of registration.

17-12a,501 General fraud.

17-12a,502 Prohibited conduct in providing investment advice.

17-12a,503 Evidentiary burden.

17-12a,504 Filing of sales and advertising literature.

17-12a,505 Misleading filings; coercion; obstruction.

17-12a,506 Misrepresentations concerning registration or exemption.

17-12a,507 Qualified immunity.

17-12a,508 Criminal penalties; statute of limitations.

17-12a,509 Civil liability.

17-12a,510 Rescission offers.

17-12a,601 Administration; investor education and protection fund.

17-12a,602 Investigations and subpoenas.

17-12a,603 Civil enforcement.

17-12a,604 Administrative enforcement.

17-12a,605 Rules, forms, orders, interpretive opinions and hearings.

17-12a,606 Administrative files and opinions.

17-12a,607 Public records; confidentiality.

17-12a,608 Uniformity and cooperation with other agencies.

17-12a,609 Judicial review.

17-12a,610 Jurisdiction.

17-12a,611 Service of process.

17-12a,612 Severability clause.

17-12a,703 Repeals; application of act to existing proceeding and existing rights and duties.