Agent Conduct Requirements

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What this video covers

  • Who must notify the Administrator when an agent begins or terminates an association with a broker-dealer or issuer, and why all three parties have independent legal duties
  • Why failure by any single party to provide prompt notification is a direct violation of the Uniform Securities Act (USA)
  • How Canadian broker-dealer agents register through a limited pathway using their home jurisdiction's application form rather than standard U.S. forms
  • What "forthwith" means for Canadian agents reporting criminal actions or fraud-related findings, and why the 30-day amendment rule does not apply here
  • The scope of exemption for Canadian agents: exempt from most USA requirements while within permitted transaction limits, but never exempt from the antifraud provisions
  • The limited grounds on which the Administrator may deny, suspend, or revoke a Canadian agent's registration (antifraud breach or breach of Canadian pathway requirements only)

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