Last updated: 5/12/2021
Form X-17A-5 Focus Report Form X-17A-5 Schedule 1 (SEC1675) {X-17A-5}
Start Your Free Trial $ 11.99What you get:
- Instant access to fillable Microsoft Word or PDF forms.
- Minimize the risk of using outdated forms and eliminate rejected fillings.
- Largest forms database in the USA with more than 80,000 federal, state and agency forms.
- Download, edit, auto-fill multiple forms at once in MS Word using our Forms Workflow Ribbon
- Trusted by 1,000s of Attorneys and Legal Professionals
Description
UNITED STATES SECURITIES AND EXCHANGE COMMISSION Washington, D.C. 20549 OMB APPROVAL OMB Number: 3235-0123 Expires: May 31, 2017 Estimated average burden hours per response . . . . . . . 12.00 FOCUS REPORT FORM X-17A-5 SCHEDULE I (To be filed annually as of the end of calendar year) Contents Schedule I INFORMATION REQUIRED OF ALL BROKERS AND DEALERS PURUSANT TO RULE 17a-5 ***** __________________________________________________ Name of Respondent Persons who are to respond to the collection of information contained in this form are not required to respond unless the form displays a currently valid OMB control number. American LegalNet, Inc. www.FormsWorkFlow.com SEC1675 (6-02) 1 of 7 UNITED STATES SECURITIES AND EXCHANGE COMMISSION Washington, D.C. 20549 FORM X-17A-5 SCHEDULE I GENERAL INSTRUCTIONS NOTE TO RESPONDENTS: Schedule I of Form X-17A-5 is a calendar year unconsolidated report to be filed by all registrants either as a supplement to the regular fourth quarter Part II of Form X-17A-5 within seventeen business days of the end of the third quarter. Brokers or dealers which are exempt from the filing requirements of paragraphs (a)(iii) of Section 240.17a-5 are to submit, no later than 17 business days after the close of the calendar year, an annual report consisting of the Facing Page, balance sheet, and Revenue Expense Statement from Part IIA of Form and Schedule I of Form X17A-5. Schedule I requires the reporting of general information designed to measure certain economic and financial characteristics of the registrant. SPECIFIC INSTRUCTIONS 4 The term "national securities exchange(s)" shall mean any exchange(s) registered under Section 6 of the Securities Exchange Act of 1934. 9a & b "Equity security" shall mean any stock or similar security, or any security convertible with or without consideration, into such a security or carrying any warrant or right to subscribe to or purchase such a security. The term "public customer" shall mean any person from whom or on whose behalf a broker or dealer has received or acquired or holds funds or securities for the account of such person, but shall not include a broker or dealer, or a general, special or limited partner or director or officer of the broker or dealer, or any person to the extent that such person has a claim for property or funds which by contract, agreement or understanding, or by operation of law is part of the capital of the broker or dealer or is subordinated to the claims of creditors of the broker or dealer Omnibus accounts carried for other brokers or dealers shall not be included in the count of public customer accounts (Item 9a) but shall be included under Item 9b. Only active public customer accounts will be included in the public customer account total. For an accountant to be considered "active" it must have a non-zero cash or securities balance at the end of the reporting period. Omnibus accounts carried for other brokers at the end of the reporting period are to be included in Omnibus account total. 11 Indicate with "1" the methods by which respondent clears its public customer accounts. If respondent has no customers, as defined in 9a and 9b above, respondent is to place a "1" in the "not applicable" box. If respondent principally clears its public customer transactions through other than a broker-dealer, place a "1" in the "other" box. 12 Exchange membership is to include associate and limited memberships as well as regular memberships. See Item 4 description for definition of "exchange." 13a & b Report only full time (full time is defined as anyone who works 40 hours or more per week for respondent) personnel employed by respondent as of the last business day of the year. A full time registered representative is any person who works a minimum of 30 hours per week and spends a minimum of 50 percent of his time engaged in effecting transactions with public customers on behalf of the respondent. The number of employees and registered representatives is "as of " the last business day of the year. American LegalNet, Inc. www.FormsWorkFlow.com 2 of 7 16a & b These items are to be completed only by carrying or clearing firms required to file Part II of Form X-17A5. Report the total number of public customer transactions executed on a national securities exchange. If basis of count is an actual count, place a "1" in "actual" box. If statistical method is used, place a "1" in "estimate" box. A transaction is defined as an executed trade which results in a customer trade confirmation. Therefore, the count of transactions should be taken from the customer side and should not include confirmation corrections. For count purposes, several executions at the same price, which result in one confirmation, should be counted as one transaction. For investment company securities transactions in which cash or securities are handled by respondent (exclude transactions by others, such as voluntary or period payment plans), a count of trade confirmations should be used to obtain the transaction count. The street and customer side are counted as one transaction. For underwriting transactions, the takedown should be counted as one transaction and the ultimate sale to customers should be counted based on customers' confirmations (e.g., an underwriting of 2,000 shares is ultimately sold to five customers-takedown of 2,000 shares counts as one trade and the sale to five customers counts as five trades.) For commodity transactions, purchase or sale of contracts are to be counted as one transaction and each subsequent closeout is to be counted as one transaction [e.g., five contracts of a commodity purchased in one trade (same price and on the same day) is one transaction, subsequent sale is five separate contracts (different day or price for each is five additional transactions)]. Do not include clearing house side in count. For option transactions, the purchase of an option contract represents a transaction. For commercial paper transactions, both the purchase and sale should be counted as separate transactions. Count may be taken from confirmation or acknowledgement tickets. Items which are not strictly principal trades, such as private placement sales should be included. Repurchase agreement sales and returns should also be included in count. Corrections shall be excluded from the transaction count. However, an error transaction, that is a transaction where the wrong security was purchased and the correct security
Related forms
-
Form 3 Initial Statement Of Beneficial Ownership Of Securities (SEC1472)
Official Federal Forms/Securities And Exchange Commission/ -
Form N-17F-1 Certificate Of Accounting Of Securities And Similar Investments (SEC2205)
Official Federal Forms/Securities And Exchange Commission/ -
Form N-27D-1 Accounting Of Segregated Trust Account (SEC1840)
Official Federal Forms/Securities And Exchange Commission/ -
Form N-Q Quarterly Schedule Of Portfolio Holdings Of Registered Management Investment Company (SEC2455)
Official Federal Forms/Securities And Exchange Commission/ -
Form SIP Application Or Amendment To Application For Registration As Securities Information Processor (SEC1939)
Official Federal Forms/Securities And Exchange Commission/ -
Form N-54C Notification Of Withdrawal Of Election To Be Subject To Sections 55 Through 65 (SEC1938)
Official Federal Forms/Securities And Exchange Commission/ -
Form X-17A-5 Focus Report Part IIB OTC Derivates Dealer (SEC2430)
Official Federal Forms/Securities And Exchange Commission/ -
Form TA-2 Annual Report Of Transfer Agent Activities (SEC2113)
Official Federal Forms/Securities And Exchange Commission/ -
Form D Item 3 Continuation Page Related Persons (Continued)
Official Federal Forms/Securities And Exchange Commission/ -
Form D Items 1 And 2 Continuation Page Issuers Identity And Contact Information
Official Federal Forms/Securities And Exchange Commission/ -
Form X-17F-1A Missing-Lost-Stolen-Counterfeit Securities Report (SEC1666)
Official Federal Forms/Securities And Exchange Commission/ -
Form 7-M Irrevocable Appointment Of Agent For Service Of Process (Individual) (SEC876)
Official Federal Forms/Securities And Exchange Commission/ -
Form 8-M Irrevocable Appointment Of Agent For Service Of Process (Corporate) (SEC877)
Official Federal Forms/Securities And Exchange Commission/ -
Form 9-M Irrevocable Appointment Of Agent For Service Of Process (Partnership) (SEC878)
Official Federal Forms/Securities And Exchange Commission/ -
Form 10-M Irrevocable Appointment Of Agent For Service Of Process (General Partner) (SEC879)
Official Federal Forms/Securities And Exchange Commission/ -
Form D Item 12 Sales Compensation (Continued)
Official Federal Forms/Securities And Exchange Commission/ -
Form N-6E1-1 Notification Of Claim Of Exemption Pursuant To Rule 6e-2 Or 6e-3(T) (SEC1130)
Official Federal Forms/Securities And Exchange Commission/ -
Form SDR Application Or Amendment To Application For Registration Or Withdrawal (SEC2911)
Official Federal Forms/Securities And Exchange Commission/ -
Form SCI Systems Compliance And Integrity (SEC2919)
Official Federal Forms/Securities And Exchange Commission/ -
Form CFPORTAL Application Or Amendment To Application For Registration Or Withdrawal
Official Federal Forms/Securities And Exchange Commission/ -
Form SBSE-C Certifications For Registrations Of Security-Based Swap Dealers (SEC2927)
Official Federal Forms/Securities And Exchange Commission/ -
Form SBSE-W Request For Withdrawal From Registration-Swap Dealer (SEC2928)
Official Federal Forms/Securities And Exchange Commission/ -
Form SBSE Application For Registration Of Security-Based Swap Dealers (SEC2924)
Official Federal Forms/Securities And Exchange Commission/ -
Form SBSE-A Application For Registration Of Security-Based Swap Dealers (SEC2925)
Official Federal Forms/Securities And Exchange Commission/ -
Form SBSE-BD Application For Registration Of Security-Based Swap Dealers (SEC2926)
Official Federal Forms/Securities And Exchange Commission/ -
Form R31 Form For Reporting Covered Sales And Covered Round Turn Transactions Under Section 31 (SEC2502)
Official Federal Forms/Securities And Exchange Commission/ -
Form 19b-4(e) Information Required Of A Self-Regulatory Organization Listing And Trading (SEC2449)
Official Federal Forms/Securities And Exchange Commission/ -
Form PILOT Initial Operation Report Amendment To Initial Operation Report And Quarterly Report (SEC2552)
Official Federal Forms/Securities And Exchange Commission/ -
Form MSDW Notice Of Withdrawal From Registration As A Muni Securities Dealer (SEC1588)
Official Federal Forms/Securities And Exchange Commission/ -
Form 19b-4 Proposed Rule Change By Self-Regulatory Organization (SEC1832)
Official Federal Forms/Securities And Exchange Commission/ -
Form ADV (Paper Version) Uniform Application For Investment Adviser Registration (Part 1B) (SEC1707)
Official Federal Forms/Securities And Exchange Commission/ -
Form 1-N Form And Amendments For Notice Of Registration (SEC2568)
Official Federal Forms/Securities And Exchange Commission/ -
Form SD Specialized Disclosure Report (SEC0697)
Official Federal Forms/Securities And Exchange Commission/ -
Form MA-I Information Regarding Natural Persons Engage In Municipal Advisory Activities (SEC2899)
Official Federal Forms/Securities And Exchange Commission/ -
Form MA-NR Designation Of US Agent For Service Of Process (SEC2900)
Official Federal Forms/Securities And Exchange Commission/ -
Form MA-W Notice Of Withdrawal From Registration As Municipal Advisor (SEC2901)
Official Federal Forms/Securities And Exchange Commission/ -
Form MA Application For Municipal Adivsor Registration (SEC2898)
Official Federal Forms/Securities And Exchange Commission/ -
Form 15F Certification Of A Foreign Private Issuers Termination Of Registration
Official Federal Forms/Securities And Exchange Commission/ -
Form BD-N Notice Of Registration As A Broker-Dealer For The Purpose Of Trading Security Futures (SEC1500)
Official Federal Forms/Securities And Exchange Commission/ -
Form CUSTODY For Broker Dealers (SEC2897)
Official Federal Forms/Securities And Exchange Commission/ -
Form MSD Application For Registration As A Municipal Securities Dealer (SEC1534)
Official Federal Forms/Securities And Exchange Commission/ -
Form N-17D-1 Report Filed By Small Business Investment Company (SEC1839)
Official Federal Forms/Securities And Exchange Commission/ -
Form N-8B-4 Registration Statement Of Face-Amount Certificate Companies (SEC1285)
Official Federal Forms/Securities And Exchange Commission/ -
Form CA-1 Application For Registration Or Exemption From Registration As A Clearing Agency (SEC1853)
Official Federal Forms/Securities And Exchange Commission/ -
Form N-18F-1 Notification Of Election Pursuant To Rule 18f-1 Under The Investment Company Act Of 1940 (SEC1846)
Official Federal Forms/Securities And Exchange Commission/ -
Form ADV-H Application For A Temporary Or Continuing Hardship Exemption (SEC2566)
Official Federal Forms/Securities And Exchange Commission/ -
Form ADV-W (Paper Version) Notice Of Withdrawal From Registration (SEC777)
Official Federal Forms/Securities And Exchange Commission/ -
Form 19b-7 Proposed Rule Change By (Self-Regulatory Organization) (SEC2450)
Official Federal Forms/Securities And Exchange Commission/ -
Form N-CR Current Report Money Market Fund Material Events (SEC2918)
Official Federal Forms/Securities And Exchange Commission/ -
Form X-17A-5 Focus Report Part IIA (SEC1696)
Official Federal Forms/Securities And Exchange Commission/ -
Form X-17A-5 Focus Report Part I (SEC1705)
Official Federal Forms/Securities And Exchange Commission/ -
Form X-17A-5 Focus Report Form X-17A-5 Schedule 1 (SEC1675)
Official Federal Forms/Securities And Exchange Commission/ -
Form N-6F Notice Of Intent To Elect To Be Subject To Sections 55-65 Of The Investment Company Act Of 1940 (SEC1936)
Official Federal Forms/Securities And Exchange Commission/ -
Form 2-E Report Pursuant To Rule 609 Of Regulation E (SEC1808)
Official Federal Forms/Securities And Exchange Commission/ -
Form F-N Appointment Of Agent For Service Of Process By Foreign Banks (SEC2306)
Official Federal Forms/Securities And Exchange Commission/ -
Form N-54A Notification Of Election To Be Subject To Sections 55 Through 65 (SEC1937)
Official Federal Forms/Securities And Exchange Commission/ -
Form WB-APP Application For Award For Original Information (SEC2851)
Official Federal Forms/Securities And Exchange Commission/ -
Form D Notice Of Sale Of Securities Pursuant To Regulation D Section 4(6) (SEC1972)
Official Federal Forms/Securities And Exchange Commission/ -
Form 13H Information Required Of Large Traders Pursuant To Section 13(h) (SEC2858)
Official Federal Forms/Securities And Exchange Commission/ -
Form 25 Notification Of The Removal From Listing And Registration Of Matured Redeemed Or Retired Securities (SEC1654)
Official Federal Forms/Securities And Exchange Commission/ -
Form TCR Tip Complaint Or Referral (SEC2850)
Official Federal Forms/Securities And Exchange Commission/ -
Form 15 Certification And Notice Of Termination Of Registration Under Section 12(g) (SEC2069)
Official Federal Forms/Securities And Exchange Commission/ -
Form 3 Initial Statement Of Beneficial Ownership Of Securities (SEC1473)
Official Federal Forms/Securities And Exchange Commission/ -
Form N-17F-2 Certificate Of Accounting Of Securities And Similar Investments (SEC2198)
Official Federal Forms/Securities And Exchange Commission/ -
Form ABS DD-15E Certification Of Provider Of Third-Party Due Diligence Services (SEC2917)
Official Federal Forms/Securities And Exchange Commission/ -
Form 10-D Asset-Backed Issuer Distribution Report (SEC2503)
Official Federal Forms/Securities And Exchange Commission/ -
Form ATS Initial Operation Report Amendment To Initial Operating Report (SEC2550)
Official Federal Forms/Securities And Exchange Commission/ -
Form ATS-R Quarterly Report Of Alternative Trading System Activities (SEC2551)
Official Federal Forms/Securities And Exchange Commission/ -
Form X-17A-5 Focus Report Part IIC
Official Federal Forms/Securities And Exchange Commission/ -
Form X-17A-19 Report Of Change In Memberhip Status (SEC1414)
Official Federal Forms/Securities And Exchange Commission/ -
Form N-23C-3 Notification Of Repurchase Offer (SEC2380)
Official Federal Forms/Securities And Exchange Commission/ -
Form N-4 Registration Statement Under The Securites Act Of 1933 (Trusts) (SEC2125)
Official Federal Forms/Securities And Exchange Commission/ -
Form N-6 Registration Statement (Separate Accounts Organized As Unit Investment Trusts) (SEC2567)
Official Federal Forms/Securities And Exchange Commission/ -
Form 24F-2 Annual Notice Of Securities Sold Pursuant To Rule 24F-2 (SEC2393)
Official Federal Forms/Securities And Exchange Commission/ -
Form S-8 Registration Statement Under The Securities Act Of 1933 (SEC1398)
Official Federal Forms/Securities And Exchange Commission/ -
Form SF-3 Registration Statement Under The Securities Act Of 1933 (SEC2909)
Official Federal Forms/Securities And Exchange Commission/ -
Form X-17A Annual Audited Report Part III (SEC1410)
Official Federal Forms/Securities And Exchange Commission/ -
Form ADV-E Certificate Of Accounting Of Client Securities And Funds (SEC2223)
Official Federal Forms/Securities And Exchange Commission/ -
Form ATS-N NMS Stock Alternative Trading Systems
Official Federal Forms/Securities And Exchange Commission/ -
Form F-3 Registration Statement For Securities Act Of 1933 (SEC1983)
Official Federal Forms/Securities And Exchange Commission/ -
Form S-1 Registration Statement Under The Securities Act Of 1933 (SEC870)
Official Federal Forms/Securities And Exchange Commission/ -
Form SF-1 Registration Statement Under The Securities Act Of 1933 (SEC2908)
Official Federal Forms/Securities And Exchange Commission/ -
Form 1-E Notification Under Regulation E (SEC1807)
Official Federal Forms/Securities And Exchange Commission/ -
Form F-6 Registration Statement For Depositary Shares Evidenced By American Depository Receipts (SEC2001)
Official Federal Forms/Securities And Exchange Commission/ -
Form ABS-EE Form For Submission Of Electronic Exhibits For Asset Backed Securities (SEC2910)
Official Federal Forms/Securities And Exchange Commission/ -
Form N-PX Annual Report Of Prox Voting Record Of Registered Management Investment Company (SEC2451)
Official Federal Forms/Securities And Exchange Commission/ -
Form N-MFP Monthly Schedule Of Portfolio Holdings Of Money Market Funds (SEC2847)
Official Federal Forms/Securities And Exchange Commission/ -
Form N-5 Registration Statement Of Small Business Investment Company (SEC0993)
Official Federal Forms/Securities And Exchange Commission/ -
Form N-3 Registration Statement (Accounts Organized As Management Investment Co.) (SEC2124)
Official Federal Forms/Securities And Exchange Commission/ -
Form 12b-25 Notification Of Late Filing (SEC1344)
Official Federal Forms/Securities And Exchange Commission/ -
Form SE For Submission Of Paper Format Exhibits By Electronic Filers (SEC2082)
Official Federal Forms/Securities And Exchange Commission/ -
Form TH Notification Of Reliance On Temporary Hardship Exemption (SEC2348)
Official Federal Forms/Securities And Exchange Commission/ -
Form 1-K Annual Reports And Special Financial Reports (SEC2913)
Official Federal Forms/Securities And Exchange Commission/ -
Form 1-U Current Report Pursuant To Regulation A (SEC2915)
Official Federal Forms/Securities And Exchange Commission/ -
Form 1-Z Exit Report Under Regulation A (SEC2916)
Official Federal Forms/Securities And Exchange Commission/ -
Form ABS-15G Asset-Backed Securitizer Report (SEC2860)
Official Federal Forms/Securities And Exchange Commission/ -
Form 1 Application And Amendments To Application For Registration As A National Securities Exchange (SEC1935)
Official Federal Forms/Securities And Exchange Commission/ -
Form 8-A For Registration Of Certain Classes Of Securities Pursuant To Section 12(b) Or (g) (SEC1922)
Official Federal Forms/Securities And Exchange Commission/ -
Form N-CEN Annual Report For Registered Investment Companies (SEC2846)
Official Federal Forms/Securities And Exchange Commission/ -
Form T-6 Application-For Determination Of Elegibility Of A Foreign Person To Act As Institutional Trustee (SEC2275)
Official Federal Forms/Securities And Exchange Commission/ -
Form N-LIQUID Current Report Open-End Management Investment Company (SEC2941)
Official Federal Forms/Securities And Exchange Commission/ -
Form T-1 (Statement Of Eligibility And Qualification Under The Trust Indenture Act) (SEC1836)
Official Federal Forms/Securities And Exchange Commission/ -
Form T-2 Statement Of Eligibility Under The Trust Indenture Act-An Individual Designated To Act As Trustee (SEC1849)
Official Federal Forms/Securities And Exchange Commission/ -
Form T-3 For Applications For Qualification Of Indentures Under The Trust Indenture Act (SEC1919)
Official Federal Forms/Securities And Exchange Commission/ -
Form ADV (Paper Version) Uniform Application For Investment Adviser Registration (Execution Pages) (SEC1707)
Official Federal Forms/Securities And Exchange Commission/ -
Form ADV (Paper Version) Uniform Application For Investment Adviser Registration (Part 1A) (SEC1707)
Official Federal Forms/Securities And Exchange Commission/ -
Form ADV (Paper Version) Uniform Application For Investment Adviser Registration (Part 2) (SEC1707)
Official Federal Forms/Securities And Exchange Commission/ -
Form ADV (Paper Version) Uniform Application For Investment Adviser Registration (SEC1707)
Official Federal Forms/Securities And Exchange Commission/ -
Form 18 Application For Registration Pursuant To Sec 12(B) And (C) Of SEA Of 1934 (SEC1421)
Official Federal Forms/Securities And Exchange Commission/ -
Form ADV-NR Appointment Of Agent For Service Of Process By Non-Resident (SEC2565)
Official Federal Forms/Securities And Exchange Commission/ -
Form F-80 Registration Statement Under The Securities Act Of 1933 (Canadian Issuers) (SEC2282)
Official Federal Forms/Securities And Exchange Commission/ -
Form N-8F Application For Deregistration Of Certain Registered Investment Companies (SEC1691)
Official Federal Forms/Securities And Exchange Commission/ -
Form N-14 Registration Statement Under The Securities Act Of 1933 (SEC2106)
Official Federal Forms/Securities And Exchange Commission/ -
Form N-8A Notification Of Registration Filed Pursuant To Sect 8(a) (SEC1102)
Official Federal Forms/Securities And Exchange Commission/ -
Form 1-SA Semiannual Report Or Special Financial Report Pursuant To Regulation A (SEC2914)
Official Federal Forms/Securities And Exchange Commission/ -
Form F-8 Registration Statement Under The Securities Act Of 1933 (Canadian Issuers) (SEC2290)
Official Federal Forms/Securities And Exchange Commission/ -
Form S-11 For Registration Under The Securities Act Of 1933-Real Estate Companies (SEC907)
Official Federal Forms/Securities And Exchange Commission/ -
Form T-4 Application For Exemption Filed Pursuant To Section 304(c) Of The Trust Indenture Act Of 1939 (SEC1920)
Official Federal Forms/Securities And Exchange Commission/ -
Form 10 General Form For Registration Of Securities (SEC1396)
Official Federal Forms/Securities And Exchange Commission/ -
Form 11-K Annual Reports Of Employee Stock Purchase Savings And Similar Plans (SEC617)
Official Federal Forms/Securities And Exchange Commission/ -
Form 144 Notice Of Proposed Sale Of Securities Pursuant To Rule 144 (SEC1147)
Official Federal Forms/Securities And Exchange Commission/ -
Form 17-H Risk Assessment Report For Brokers And Dealers (SEC2332)
Official Federal Forms/Securities And Exchange Commission/ -
Form 18-K Annual Report For Foreign Governments And Political Subdivisions Thereof (SEC1797)
Official Federal Forms/Securities And Exchange Commission/ -
Form BDW Uniform Request For Broker Dealer Registration (SEC122)
Official Federal Forms/Securities And Exchange Commission/ -
Form CB Tender Offer-Rights Offering Notification Form (SEC2560)
Official Federal Forms/Securities And Exchange Commission/ -
Form F-1 Registration Statement Under The Securities Act Of 1933 (SEC1981)
Official Federal Forms/Securities And Exchange Commission/ -
Form F-10 Registration Statement Under The Securities Act Of 1933 (Canadian Issuers) (SEC2292)
Official Federal Forms/Securities And Exchange Commission/ -
Form F-4 Registration Statement Under The Securities Act Of 1933 (SEC2078)
Official Federal Forms/Securities And Exchange Commission/ -
Form F-7 Registration Statement Under The Securities Act Of 1933 (SEC2289)
Official Federal Forms/Securities And Exchange Commission/ -
Form F-X Appointment Of Agent For Service Of Process And Undertaking (SEC2288)
Official Federal Forms/Securities And Exchange Commission/ -
Form S-4 Registration Statement Under The Securities Act Of 1933 (SEC2077)
Official Federal Forms/Securities And Exchange Commission/ -
Form TA-1 Uniform Form For Registration As Transfer Agent And For Amendment (SEC1528)
Official Federal Forms/Securities And Exchange Commission/ -
Form TA-W Notive Of Withdrawal From Registration As Transfer Agent (SEC1669)
Official Federal Forms/Securities And Exchange Commission/ -
Form 13F Information Required Of Institutional Investment Managers (SEC1685)
Official Federal Forms/Securities And Exchange Commission/ -
Form 40-F Registration Statement Pursuant To Section 12 Or Annual Report (SEC2285)
Official Federal Forms/Securities And Exchange Commission/ -
Form 10-Q (SEC1296)
Official Federal Forms/Securities And Exchange Commission/ -
Form 4 Statement Of Changes In Beneficial Ownership Of Securities (SEC1474)
Official Federal Forms/Securities And Exchange Commission/ -
Form C (SEC2930}
Official Federal Forms/Securities And Exchange Commission/ -
Form N-1A Registration Statement (Open-End Management Investment Companies) (SEC2052)
Official Federal Forms/Securities And Exchange Commission/ -
Form 5 Annual Statement Of Beneficial Ownership Of Securities (General Instructions) (SEC2270)
Official Federal Forms/Securities And Exchange Commission/ -
Form 5 Annual Statement Of Changes In Benificial Ownership Of Securities (SEC2270)
Official Federal Forms/Securities And Exchange Commission/ -
Form BD Uniform Application For Broker Dealer Registration (SEC1490)
Official Federal Forms/Securities And Exchange Commission/ -
Form S-20 Registration Statement Under The Securities Act Of 1933 (SEC2013)
Official Federal Forms/Securities And Exchange Commission/ -
Form 4 Statement Of Changes Of Beneficial Ownership Of Securities Instructions (SEC1475)
Official Federal Forms/Securities And Exchange Commission/ -
Form 6-K Report Of Foreign Private Issuer Pursuant To Rule 13a-16 Or 15d-16 Under The S.E.A. of 1934 (SEC1815)
Official Federal Forms/Securities And Exchange Commission/ -
Form 8-K Current Report Pursuant To Section 13 Or 15(d) Of The Securities Exchange Act (SEC873)
Official Federal Forms/Securities And Exchange Commission/ -
Form S-3 Registration Statement Under The Securities Act Of 1933 (SEC1379)
Official Federal Forms/Securities And Exchange Commission/ -
Form PF Reporting Form For Investment Advisers To Private Funds (SEC2048)
Official Federal Forms/Securities And Exchange Commission/ -
Form 20-F Registration Statement Or Annual Report Or Transition Report (SEC1852)
Official Federal Forms/Securities And Exchange Commission/ -
Form N-PORT Monthly Portfolio Investments Report (SEC2940)
Official Federal Forms/Securities And Exchange Commission/ -
Form S-6 (Facing Sheet) For Registration Under The Securities Act Of 1933 (SEC649)
Official Federal Forms/Securities And Exchange Commission/ -
Form N-2 Registration Statement Under The SEA of 1933 And Or Investment Co Act Of 1940 (SEC1716)
Official Federal Forms/Securities And Exchange Commission/ -
Form N-8B-2 Registration Statement Of Unit Investment Trusts Which Are Currently Issuing Securities (SEC0977)
Official Federal Forms/Securities And Exchange Commission/ -
Form NRSRO Application For Registration As A Nationally Recognized Statistical Rating Organization (SEC1541)
Official Federal Forms/Securities And Exchange Commission/ -
Form X-17A-5 Focus Report Part II (SEC1695)
Official Federal Forms/Securities And Exchange Commission/ -
Form N-CSR Certified Shareholder Report Of Registered Management Investment Companies (SEC2569)
Official Federal Forms/Securities And Exchange Commission/ -
Form SBSEF Security-Based Swap Execution Facility Appilcation For Registration
Official Federal Forms/Securities And Exchange Commission/ -
Form 1-A Regulation Offering Statement Under The Securities Act Of 1933 (SEC486)
Official Federal Forms/Securities And Exchange Commission/ -
Form 10-K Annual Report Pursuant To Sec 13 Or 15(d) Of The SEA Of 1934 (SEC1673)
Official Federal Forms/Securities And Exchange Commission/
Form Preview
Contact Us
Success: Your message was sent.
Thank you!