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Investment Adviser Regulatory Flexibility Improvement Act

USA115th CongressHR-6321| House 
| Updated: 8/3/2018
Gwen Moore

Gwen Moore

Democratic Representative

Wisconsin

Cosponsors (1)
Bill Huizenga (Republican)

Financial Services Committee

  • Introduced
  • In Committee
  • On Floor
  • Passed Chamber
  • Enacted
Investment Adviser Regulatory Flexibility Improvement Act This bill directs the Securities and Exchange Commission (SEC) to revise the definitions of "small business" and "small organization" for the purpose of analyzing the impact of regulations promulgated under the Investment Advisers Act of 1940. Specifically, the SEC must provide alternative methods through which a business or organization may qualify under such definitions.

Bill Text Versions

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Timeline
Jul 10, 2018
Introduced in House
Jul 10, 2018
Referred to the House Committee on Financial Services.
Jul 11, 2018
Committee Consideration and Mark-up Session Held.
Jul 11, 2018
Ordered to be Reported by Voice Vote.
Aug 3, 2018
Placed on the Union Calendar, Calendar No. 682.
Aug 3, 2018
Reported by the Committee on Financial Services. H. Rept. 115-884.
  • July 10, 2018
    Introduced in House


  • July 10, 2018
    Referred to the House Committee on Financial Services.


  • July 11, 2018
    Committee Consideration and Mark-up Session Held.


  • July 11, 2018
    Ordered to be Reported by Voice Vote.


  • August 3, 2018
    Placed on the Union Calendar, Calendar No. 682.


  • August 3, 2018
    Reported by the Committee on Financial Services. H. Rept. 115-884.

Finance and Financial Sector

Related Bills

  • S 115-488: Encouraging Employee Ownership Act
  • S 115-3579: A bill to require the Securities and Exchange Commission to revise the definitions of a "small business" and "small organization" for purposes of assessing the impact of the rulemakings of the Commission under the Investment Advisers Act of 1940.
Administrative law and regulatory proceduresFinancial services and investmentsSecurities and Exchange Commission (SEC)Small business

Investment Adviser Regulatory Flexibility Improvement Act

USA115th CongressHR-6321| House 
| Updated: 8/3/2018
Investment Adviser Regulatory Flexibility Improvement Act This bill directs the Securities and Exchange Commission (SEC) to revise the definitions of "small business" and "small organization" for the purpose of analyzing the impact of regulations promulgated under the Investment Advisers Act of 1940. Specifically, the SEC must provide alternative methods through which a business or organization may qualify under such definitions.

Bill Text Versions

View Text
2 versions available

Suggested Questions

Get AI-generated questions to help you understand this bill better

Timeline
Jul 10, 2018
Introduced in House
Jul 10, 2018
Referred to the House Committee on Financial Services.
Jul 11, 2018
Committee Consideration and Mark-up Session Held.
Jul 11, 2018
Ordered to be Reported by Voice Vote.
Aug 3, 2018
Placed on the Union Calendar, Calendar No. 682.
Aug 3, 2018
Reported by the Committee on Financial Services. H. Rept. 115-884.
  • July 10, 2018
    Introduced in House


  • July 10, 2018
    Referred to the House Committee on Financial Services.


  • July 11, 2018
    Committee Consideration and Mark-up Session Held.


  • July 11, 2018
    Ordered to be Reported by Voice Vote.


  • August 3, 2018
    Placed on the Union Calendar, Calendar No. 682.


  • August 3, 2018
    Reported by the Committee on Financial Services. H. Rept. 115-884.
Gwen Moore

Gwen Moore

Democratic Representative

Wisconsin

Cosponsors (1)
Bill Huizenga (Republican)

Financial Services Committee

Finance and Financial Sector

Related Bills

  • S 115-488: Encouraging Employee Ownership Act
  • S 115-3579: A bill to require the Securities and Exchange Commission to revise the definitions of a "small business" and "small organization" for purposes of assessing the impact of the rulemakings of the Commission under the Investment Advisers Act of 1940.
  • Introduced
  • In Committee
  • On Floor
  • Passed Chamber
  • Enacted
Administrative law and regulatory proceduresFinancial services and investmentsSecurities and Exchange Commission (SEC)Small business