Rule 15-g2 (17 CFR 240.15g-2) Risk disclosure document relating to the Penny Stock Rules

ICR 201404-3235-015

OMB: 3235-0434

Federal Form Document

Forms and Documents
Document
Name
Status
Supporting Statement A
2014-10-08
IC Document Collections
ICR Details
3235-0434 201404-3235-015
Historical Active 201106-3235-013
SEC TM-270-381
Rule 15-g2 (17 CFR 240.15g-2) Risk disclosure document relating to the Penny Stock Rules
Extension without change of a currently approved collection   No
Regular
Approved without change 02/10/2015
Retrieve Notice of Action (NOA) 10/08/2014
  Inventory as of this Action Requested Previously Approved
02/28/2018 36 Months From Approved 02/28/2015
34,476 0 39,468
2,301 0 2,632
0 0 0

Rule 17 CFR 240.15g-2, adopted Jul 12, 1992, and amended on July 13, 2005,  requires broker-dealers to provide their customers with a risk disclosure document, as set forth in Schedule 15G, prior to their first non-exempt transaction in a "penny stock."

US Code: 15 USC 78c(b), 78o(c), 78o(g) and 78w Name of Law: Sections 2, 3(b), 15B, 15(c), 15(g), 17 and 23(a) of the Securities Exchange Act of 1934.
  
None

Not associated with rulemaking

  79 FR 25630 05/05/2014
79 FR 39003 07/09/2014
No

1
IC Title Form No. Form Name
Rule 15-g2 (17 CFR 240.15g-2) Risk disclosure document relating to the Penny Stock Rules

  Total Approved Previously Approved Change Due to New Statute Change Due to Agency Discretion Change Due to Adjustment in Estimate Change Due to Potential Violation of the PRA
Annual Number of Responses 34,476 39,468 0 0 -4,992 0
Annual Time Burden (Hours) 2,301 2,632 0 0 -331 0
Annual Cost Burden (Dollars) 0 0 0 0 0 0
No
No
There was an overall decrease in the total burden hours because the number of registered broker-dealers has decreased.

$0
No
No
No
No
No
Uncollected
Timothy White 202 551-7232

  No

On behalf of this Federal agency, I certify that the collection of information encompassed by this request complies with 5 CFR 1320.9 and the related provisions of 5 CFR 1320.8(b)(3).
The following is a summary of the topics, regarding the proposed collection of information, that the certification covers:
 
 
 
 
 
 
 
    (i) Why the information is being collected;
    (ii) Use of information;
    (iii) Burden estimate;
    (iv) Nature of response (voluntary, required for a benefit, or mandatory);
    (v) Nature and extent of confidentiality; and
    (vi) Need to display currently valid OMB control number;
 
 
 
If you are unable to certify compliance with any of these provisions, identify the item by leaving the box unchecked and explain the reason in the Supporting Statement.
10/08/2014


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