Defendant Name: Banc of America Investment Services, Inc

Defendant Type: Subsidiary of Public Company

Document Reference: 33-9075

Document Details

Legal Case Name In the Matter of Banc of America Investment Services, Inc.
Document Name Order Under Rule 602(E) Of The Securities Act Of 1933 Granting A Waiver Of The Rule 602(C)(3) Disqualification Provision
Document Date 22-Oct-2009
Document Format Administrative Proceeding
File Number 3-13664
Allegation Type Broker Dealer
Document Summary On October 22, 2009, the SEC issued an Order Under Rule 602(E) Of the Securities Act Of 1993 Granting A Waiver Of The Rule 602(c)(3) Disqualification Provision.

Disgorgement & Penalty Information

Resolutions
Censured
Monetary Penalties:

Civil Penalty

Individual:     $150,000.00 Shared:    

Related Documents:

34-60870 22-Oct-2009 Administrative Proceeding
Order Instituting Administrative Proceedings Pursuant To Section 15(B) Of The Securities Exchange Act Of 1934, Making Findings, And Imposing Remedial Sanctions
On October 22, 2009, the SEC instituted a settled administrative proceeding against Banc of America Investment Services, Inc. and Virginia Holliday. According to the SEC: "These proceedings arise out of BAI's and Holliday's failure reasonably to supervise Brent Lemons, a former registered representative in BAI's Tyler, Texas branch office."

Other Defendants in Action:

Related Actions:

SEC v. Brent Lemons
In the Matter of Brent Lemons