Defendant Name: UBS Securities LLC

Defendant Type: Subsidiary of Public Company

Document Reference: 2011-240

Document Details

Legal Case Name In the Matter of UBS Securities LLC
Document Name SEC Charges UBS With Faulty Recordkeeping Related to Short Sales
Document Date 10-Nov-2011
Document Format Administrative Proceeding
File Number 3-14620
Allegation Type Market Manipulation
Document Summary On November 10, 2011, the SEC announced in a Press Release that it, "charged UBS Securities LLC for inaccurate recording practices when providing and recording 'locates' to customers seeking to execute short sales."

Disgorgement & Penalty Information

Resolutions
Cease and Desist Order
Compliance Related Independent Consultant
Various undertakings

Related Documents:

34-65733 10-Nov-2011 Administrative Proceeding
Order Instituting Administrative and Cease-and-Desist Proceedings Pursuant to Sections 15(b) and 21C of the Securities Exchange Act of 1934, Making Findings, and Imposing Remedial Sanctions and a Cease-and-Desist Order
On November 10, 2011, the SEC instituted settled administrative and cease-and-desist proceedings against UBS Securities LLC. According to the SEC: "These proceedings arise out of practices engaged in by the securities lending desk of UBS Securities LLC ('UBS') in providing and recording 'locates' to its customers to enable the customers to execute short sales."
33-9276 10-Nov-2011 Administrative Proceeding
Order Under Rule 602(e) of the Securities Act of 1933 Granting a Waiver of the Rule 602(c)(3) Disqualification Provision
On November 10, 2011, the SEC granted the request of UBS Securities LLC for a waiver pursuant to Rule 602(e) under the Securities Act from the application of the disqualification provision of Rule 602(c)(3) under the Securities Act resulting from the entry of the November 10, 2011 Order.