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Gardere – HospitalityLawyer.com https://pre.hospitalitylawyer.com Worldwide Legal, Safety & Security Solutions Mon, 06 May 2019 01:03:36 +0000 en hourly 1 https://wordpress.org/?v=5.6.5 https://pre.hospitalitylawyer.com/wp-content/uploads/2019/01/Updated-Circle-small-e1404363291838.png Gardere – HospitalityLawyer.com https://pre.hospitalitylawyer.com 32 32 New Texas M&A Broker Exemption https://pre.hospitalitylawyer.com/new-texas-ma-broker-exemption/?utm_source=rss&utm_medium=rss&utm_campaign=new-texas-ma-broker-exemption https://pre.hospitalitylawyer.com/new-texas-ma-broker-exemption/#respond Thu, 05 May 2016 01:01:03 +0000 http://pre.hospitalitylawyer.com/?p=14045 Effective February 16, 2015, the Texas State Securities Board (the “Securities Board”) adopted a new rule, Section 139.27 of Title 7 of the Texas Administrative Code (the “Rule”), that exempts certain mergers-and-acquisitions brokers from dealer registration under the Texas Securities Act.  An exempt mergers-and-acquisitions broker is defined in the Rule as an “M&A Dealer.”  The Rule was prompted by, and is based on, the no-action letter issued by the SEC Division of Trading and Markets issued on January 31, 2014 (and revised February 4, 2014) to permit certain mergers-and-acquisitions brokers to facilitate certain securities transactions without registering as a broker-dealer under the Section 15(b) of the Securities Exchange Act of 1934  (the “No-Action Letter”).[1]  The Securities Board has (and has had) a streamlined registration or licensing process, not involving the satisfaction of any examination requirement, for a dealer that is only acting as a “business broker.”[2]  In contrast, the Rule provides an exemption from any registration or licensing obligation for an M&A Dealer and its agents and does not require any filing with the Securities Board.

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