Mississippi Code
Article 4 - Broker-dealers, agents, investment advisers, investment adviser representatives, and federal covered investment advisers
§ 75-71-405. Federal covered investment adviser notice filing requirement

Notice filing requirement. Except with respect to a federal covered investment adviser described in subsection (b), it is unlawful for a federal covered investment adviser to transact business in this state as a federal covered investment adviser unless the federal covered investment adviser complies with subsection (c).
Notice filing requirement not required. The following federal covered investment advisers are not required to comply with subsection (c):
Federal covered investment advisers, investment advisers registered under this chapter, and broker-dealers registered under this chapter;
Institutional investors;
Bona fide preexisting clients whose principal places of residence are not in this state; or
Other clients specified by rule adopted or order issued under this chapter;
Notice filing procedure. A person acting as a federal covered investment adviser, not excluded under subsection (b), shall file a notice, a consent to service of process complying with Section 75-71-611, and such records as have been filed with the Securities and Exchange Commission under the Investment Advisers Act of 1940 required by rule adopted or order issued under this chapter and pay the fees specified in Section 75-71-410.
Effectiveness of filing. The notice under subsection (c) becomes effective upon its filing.

Structure Mississippi Code

Mississippi Code

Title 75 - Regulation of Trade, Commerce and Investments

Chapter 71 - Mississippi Securities Act of 2010

Article 4 - Broker-dealers, agents, investment advisers, investment adviser representatives, and federal covered investment advisers

§ 75-71-401. Broker-dealer registration requirement and exemptions

§ 75-71-402. Agent registration requirement and exemptions

§ 75-71-403. Investment adviser registration requirement and exemptions

§ 75-71-404. Investment adviser representative registration requirement and exemptions

§ 75-71-405. Federal covered investment adviser notice filing requirement

§ 75-71-406. Registration by broker-dealer, agent, investment adviser, and investment adviser representative

§ 75-71-407. Succession and change in registration of broker-dealer or investment adviser

§ 75-71-408. Termination of employment or association of agent and investment adviser representative and transfer of employment or association

§ 75-71-409. Withdrawal of registration of broker-dealer, agent, investment adviser, and investment adviser representative

§ 75-71-410. Fees

§ 75-71-411. Postregistration requirements

§ 75-71-412. Denial, revocation, suspension, withdrawal, restriction, condition, or limitation of registration

§ 75-71-413. Prevention of financial exploitation of vulnerable persons; certain broker-dealers and investment advisers required to file report under Mississippi Vulnerable Persons Act must forward copy of report to administrator; initiation of inter...