RIA Compliance Consultants
Blog
Blog
Wednesday, February 10, 2010

Deadline Approaching for Filing the Form 13F with the SEC

Is your investment advisor firm required to file quarterly the Form 13F with the SEC?

According to Section 13(f) of the Securities Exchange Act of 1934, an institutional money manager that exercises investment discretion over $100 million of Section 13(f) securities must submit quarterly 13F reports to the U.S. Securities and Exchange Commission ("SEC"). Since a registered investment advisor firm meets the definition of an institutional money manager, it is subject to this rule when the investment advisor firm exercises investment discretion over $100 million of Section 13(f) securities.

An investment advisor firm that does not currently submit Form 13F reports with the SEC needs to verify that it did not exceed the 13(f) discretion threshold of $100 million at any time during calendar year 2009. To the extent your investment advisor firm exceeded $100 million of Section 13(f) securities any time during 2009, your investment advisor firm will need to file its first Form 13F by February 15, 2010. The Form 13F must report ending values as of December 31, 2009. Your investment advisor firm will then need to submit filings for quarters ending March, June, and September 2010, even if the market value of your Section 13(f) securities falls below the $100 million level.

Finally, current Form 13F filers that exceeded $100 million of discretionary 13(f) securities on the last trading day of at least one month during the year 2009 must also submit their fourth quarter 2009 reports by February 15, 2010.

Labels:


| More

posted by bhill at 1:31 PM

 

 

Subscribe to this Feed

Recent Posts
Does your Investment Adviser Have Effective Proced...
Did your Firm Renew for 2010? Don't Forget About F...
Recent Changes Regarding the Series 65 and Series ...
House Financial Services Committee Advances Invest...
2010 IARD Renewal & Form ADV Annual Amendment Requ...
Deadline Approaching for Investment Advisers to C...
House Financial Services Committee Votes to Raise ...
Private Investment Advisers Registration Act is Pa...
Upcoming Webinar: Supervising Gifts & Political C...
Is Your RIA Supervising the Gifts and Political Co...

Subjects
ADV Part 2
Advertising
Annual Amendment
Arbitration
Assignment
Best Execution
Books Records
CFP
Code Of Ethics
Compliance Program
Compliance Training
Compliance Violations
Conflict Of Interest
Credit Union
Custody
Customer Complaint
Enforcement
Equity-Indexed Annuities
Fee Audit
Fiduciary
Financial Statements
Form 13F
Form ADV
Form U4
Gifts
Hedge Funds
IAR Licensing
IARD
Insider Trading
Inv Adv Rep
Outside Business Activities
PST
Pensions
Political Contributions
Pooled Investment Vehicle
Power Of Attorney
Privacy
Proxy Voting
REg
Record Keeping
Registration
Regulatory Inspections
Renewals
SAS 70 Audit Report
SEC Inspection
SEC
SRO
Schedule 13G
Series 65
Short Sales
Soft Dollars
Solicitors
Succession Planning
Third-Party Compliance Audit
Trade Allocation
Webinar