Missouri Revised Statutes
Chapter 409 - Regulation of Securities
Section 409.4-408 - Termination of employment or association of agent and investment adviser representative and transfer of employment or association.

Effective - 01 Sep 2003
409.4-408. Termination of employment or association of agent and investment adviser representative and transfer of employment or association. — (a) If an agent registered under this act terminates employment by or association with a broker-dealer or issuer, or if an investment adviser representative registered under this act terminates employment by or association with an investment adviser or federal covered investment adviser, or if either registrant terminates activities that require registration as an agent or investment adviser representative, the broker-dealer, issuer, investment adviser, or federal covered investment adviser shall promptly file a notice of termination. If the registrant learns that the broker-dealer, issuer, investment adviser, or federal covered investment adviser has not filed the notice, the registrant may do so.
(b) If an agent registered under this act terminates employment by or association with a broker-dealer registered under this act and begins employment by or association with another broker-dealer registered under this act; or if an investment adviser representative registered under this act terminates employment by or association with an investment adviser registered under this act; or, if a federal covered investment adviser, who has filed a notice under section 409.4-405 and begins employment by or association with another investment adviser registered under this act; or if a federal covered investment adviser, who has filed a notice under section 409.4-405, upon the filing by or on behalf of the registrant, within thirty days after the termination, of an application for registration that complies with the requirement of section 409.4-406(a) and payment of the filing fee required under section 409.4-410, the registration of the agent or investment adviser representative, is:
(1) Immediately effective as of the date of the completed filing, if the agent's Central Registration Depository record or successor record or the investment adviser representative's Investment Adviser Registration Depository record or successor record does not contain a new or amended disciplinary disclosure within the previous twelve months; or
(2) Temporarily effective as of the date of the completed filing, if the agent's Central Registration Depository record or successor record or the investment adviser representative's Investment Adviser Registration Depository record or successor record contains a new or amended disciplinary disclosure within the preceding twelve months.
(c) The commissioner may by order withdraw a temporary registration if there are or were grounds for discipline as specified in section 409.4-412 and the commissioner does so within thirty days after the filing of the application. If the commissioner does not withdraw the temporary registration within the thirty-day period, registration becomes automatically effective on the thirty-first day after filing.
(d) The commissioner may by order prevent the effectiveness of a transfer of an agent or investment adviser representative under subsection (b)(1) or (2) based on the public interest and the protection of investors.
(e) If the commissioner determines that a registrant or applicant for registration is no longer in existence or has ceased to act as a broker-dealer, agent, investment adviser, or investment adviser representative, or is the subject of an adjudication of incapacity or is subject to the control of a committee, conservator, or guardian, or cannot reasonably be located, a rule adopted or order issued under this act may require the registration be cancelled or terminated or the application denied. The commissioner may reinstate a cancelled or terminated registration, with or without hearing, and may make the registration retroactive.
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(L. 2003 H.B. 380)
Effective 9-01-03

Structure Missouri Revised Statutes

Missouri Revised Statutes

Title XXVI - Trade and Commerce

Chapter 409 - Regulation of Securities

Section 409.107 - Investment firms, legal firms, other persons shall not be involved with issuance of bonds, when.

Section 409.108 - Tampering with securities documents or impeding investigations prohibited.

Section 409.109 - Penalty.

Section 409.111 - Commissioner of securities may investigate violations.

Section 409.112 - Commissioner of securities may seek relief for violations, when.

Section 409.113 - Commissioner of securities may issue orders, when.

Section 409.114 - Duties and powers of commissioner of securities.

Section 409.500 - Short title.

Section 409.506 - Definitions.

Section 409.511 - Requirements, offeror must send registration statement — solicitations, recommendations, file with commissioner.

Section 409.516 - Registration statement, contents — material changes, notice to commissioner, how.

Section 409.521 - Commissioner may make investigations, seek injunctions, when.

Section 409.526 - Penalties.

Section 409.531 - Commissioner may promulgate rules, establish fees.

Section 409.536 - Attorney general may prosecute, how.

Section 409.541 - Secretary of state deemed offeror's agent, when — service of process, how, effective when.

Section 409.546 - Fraudulent practices not allowed, solicitation of offerees.

Section 409.551 - Exceptions.

Section 409.556 - Construction of statutes.

Section 409.561 - Additional requirements, when applicable.

Section 409.566 - Unlawful practices, offeree may bring suit, damages, attorney fees.

Section 409.600 - Citation of law.

Section 409.605 - Definitions.

Section 409.610 - Financial exploitation, notification of agencies and family members.

Section 409.615 - Refusal of request for disbursement or transaction, when — expiration.

Section 409.620 - Immunity from liability, when.

Section 409.625 - Records, provided to agencies or law enforcement, when.

Section 409.630 - Website for training resources to prevent and detect financial exploitation.

Section 409.800 - Definitions.

Section 409.803 - Prohibited contracts — exemptions.

Section 409.806 - Exempt transaction — rules, generally, this chapter, procedure.

Section 409.808 - Commodity merchants — license required, boards of trade — designation required.

Section 409.810 - Prohibited acts.

Section 409.813 - Principals, agents, joint and several liability — when.

Section 409.816 - Applicability of other laws.

Section 409.818 - Intent of law.

Section 409.820 - Investigations by commissioner, subpoena powers — judicial enforcement.

Section 409.823 - Violations — powers of commissioner.

Section 409.826 - Violations of domestic or foreign laws, rules — legal and equitable remedies.

Section 409.828 - Penalties.

Section 409.830 - Insiders — restricted use of information, data to be public, exceptions.

Section 409.833 - Cooperation with other jurisdictions, agencies.

Section 409.836 - General authority of commissioner.

Section 409.838 - Service of process, appointment of commissioner as agent for service.

Section 409.840 - Application of sections 409.803, 409.808, 409.810, offers to sell, buy — where deemed made.

Section 409.843 - Administrative procedure, notice of intent, summary order, notice, hearing.

Section 409.846 - Judicial review of commissioner's orders — procedure — standard of review.

Section 409.848 - Exemptions — burden of proof.

Section 409.850 - Broker-dealers, sales representatives — applications for licenses — fees.

Section 409.853 - Examinations.

Section 409.856 - Licenses — effective date — expiration — classification, sales representatives — restrictions — exceptions.

Section 409.858 - Annual report, records — amendment, broker — dealers — capital requirements — fidelity bonds — financial reports.

Section 409.860 - Records — examination without notice — fees.

Section 409.863 - Licenses — denial, suspension, revocation, limitations, cancellation — grounds.

Section 409.950 - Fiduciaries and employee retirement systems, investment in certain multinational development banks authorized.

Section 409.1000 - Business opportunities — definitions.

Section 409.1003 - Practices prohibited — penalty.

Section 409.1006 - Civil remedies.

Section 409.1-101 - Short title.

Section 409.1-102 - Definitions.

Section 409.1-103 - References to federal statutes.

Section 409.1-104 - References to federal agencies.

Section 409.1-105 - Electronic records and signatures.

Section 409.2-201 - Exempt securities.

Section 409.2-202 - Exempt transactions.

Section 409.2-203 - Additional exemptions and waivers.

Section 409.2-204 - Denial, suspension, revocation, condition, or limitation of exemptions.

Section 409.3-301 - Securities registration requirement.

Section 409.3-302 - Notice filing.

Section 409.3-303 - Securities registration by coordination.

Section 409.3-304 - Securities registration by qualification.

Section 409.3-305 - Securities registration filings.

Section 409.3-306 - Denial, suspension, and revocation of securities registration.

Section 409.3-307 - Waiver and modification.

Section 409.4-401 - Broker-dealer registration requirement and exemptions.

Section 409.4-402 - Agent registration requirement and exemptions.

Section 409.4-403 - Investment adviser registration requirement and exemptions.

Section 409.4-404 - Investment adviser representative registration requirement and exemptions.

Section 409.4-405 - Federal covered investment adviser notice filing requirement.

Section 409.4-406 - Registration by broker-dealer, agent, investment adviser, and investment adviser representative.

Section 409.4-407 - Succession and change in registration of broker-dealer or investment adviser.

Section 409.4-408 - Termination of employment or association of agent and investment adviser representative and transfer of employment or association.

Section 409.4-409 - Withdrawal of registration of broker-dealer, agent, investment adviser, and investment adviser representative.

Section 409.4-410 - Filing fees.

Section 409.4-411 - Postregistration requirements.

Section 409.4-412 - Denial, revocation, suspension, withdrawal, restriction, condition, or limitation of registration.

Section 409.5-501 - General fraud.

Section 409.5-502 - Prohibited conduct in providing investment advice.

Section 409.5-503 - Evidentiary burden.

Section 409.5-504 - Filing of sales and advertising literature.

Section 409.5-505 - Misleading filings.

Section 409.5-506 - Misrepresentations concerning registration or exemption.

Section 409.5-507 - Qualified immunity.

Section 409.5-508 - Criminal penalties.

Section 409.5-509 - Civil liability.

Section 409.5-510 - Rescission offers.

Section 409.6-601 - Administration.

Section 409.6-602 - Investigations and subpoenas.

Section 409.6-603 - Civil enforcement.

Section 409.6-604 - Administrative enforcement.

Section 409.6-605 - Rules, forms, orders, interpretive opinions, and hearings.

Section 409.6-606 - Administrative files and opinions.

Section 409.6-607 - Public records; confidentiality.

Section 409.6-608 - Uniformity and cooperation with other agencies.

Section 409.6-609 - Judicial review.

Section 409.6-610 - Jurisdiction.

Section 409.6-611 - Service of process.

Section 409.6-612 - Severability clause.

Section 409.7-701 - Effective date.

Section 409.7-702 - Repeals.

Section 409.7-703 - Application of act to existing proceedings and existing rights and duties.