Section 710IAC4-13-2. Complaints where division not moving party


Latest version.
  •    (a) Any person may submit to the division a complaint concerning the activities of an issuer, broker-dealer, or agent.

      (b) Complaints shall be made in writing and shall be signed and verified by the person making the complaint. The complaint should include a succinct, definite statement of the facts on which it is based, including the:

    (1) names and addresses of the persons involved;

    (2) dates of the events complained of; and

    (3) nature of the interest of the person making the complaint.

      (c) The person making a complaint should:

    (1) be prepared to support the facts alleged by sufficient evidence; and

    (2) retain and make the evidence available to the division on its request.

      (d) The staff of the division is available for personal conferences with persons wishing to file a complaint and to assist in the preparation of complaints. (Securities Division; 710 IAC 4-13-2; filed Jun 28, 2010, 2:36 p.m.: 20100728-IR-710100044FRA; readopted filed May 12, 2016, 1:47 p.m.: 20160608-IR-710160136RFA)