2016-08-24

Added · Updated

SEC Division of Corporation Finance no-action letter: Invesco Ltd.

The Commission grants Invesco Ltd. relief from being considered an ineligible issuer under Rule 405 of the Securities Act of 1933 due to a Commission Order against WL Ross & Co. LLC. This determination relies on a showing of good cause under clause (2) of the Rule 405 definition, contingent upon WL Ross & Co. LLC's compliance with the Order requiring it to cease and desist from violations of the Investment Advisers Act of 1940. The Commission reserves the right to revoke or further condition the waiver if facts differ from representations or if compliance with the Order fails.

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Investment Advisers Act of 19401940SEC Division of CorporationFinance no-action letter: Inv…2016-08-24 · this document
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