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Significant changes to rules for private securities offerings

David Engvall (Partner at Covington & Burling, LLP, Washington, District of Columbia, USA)
David Martin (Partner at Covington & Burling, LLP, Washington, District of Columbia, USA)
Warren Caywood (Partner at Covington & Burling, LLP, Washington, District of Columbia, USA)
James Wawrzyniak (Associate at Covington & Burling, LLP, San Francisco, California, USA)

Journal of Investment Compliance

ISSN: 1528-5812

Article publication date: 9 September 2013

100

Abstract

Purpose

The purpose of this paper is to explain changes to the SEC rules governing private offerings of securities, permitting general solicitation and general advertising in certain private placements conducted under Rule 506 of Regulation D under the US Securities Act of 1933, and amending Rule 506 to disqualify certain “bad actors” from private placements conducted under the rule.

Design/methodology/approach

The paper explains the new Rule 506(c), which removes the prohibition on general solicitation and general advertising provided that all purchasers are accredited investors and the issuer has taken all reasonable steps to verify that they are accredited investors. The paper explains the final rules relating to bad-actor disqualifications, and also explains several amendments to Regulation D that the SEC has proposed to give the Commission additional insight into the market and help prevent potential fraud.

Findings

In adopting these rule amendments simultaneously, the SEC balanced the often counterpoised considerations of promoting capital formation and protecting investors.

Practical implications

Issuers engaging in offerings under the new Rule 506(c) must develop adequate processes to verify the accredited investor status of purchasers and to identify bad actors as defined in the rule.

Originality/value

The paper provides practical guidance from experienced financial services lawyers.

Keywords

Acknowledgements

© Covington & Burling LLP 2013

Citation

Engvall, D., Martin, D., Caywood, W. and Wawrzyniak, J. (2013), "Significant changes to rules for private securities offerings", Journal of Investment Compliance, Vol. 14 No. 3, pp. 16-27. https://doi.org/10.1108/JOIC-09-2013-0028

Publisher

:

Emerald Group Publishing Limited

Copyright © 2013, Authors

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