Defendant Name:
Barclays Capital Inc.
Defendant Type:
Subsidiary of Public Company
Document Reference:
33-10011
Document Details
Legal Case Name
In the Matter of Barclays Capital Inc.
Document Name
Order Under Rule 506(d) of the Securities Act of 1933 Granting a Waiver of the Rule 506(d)(1)(iv)(B) Disqualification Provision
Document Date
31-Jan-2016
Document Format
Administrative Proceeding
Allegation Type
Broker Dealer
Document Summary
On January 31, 2016, the SEC granted a waiver to Barclays Capital Inc. ("BCI") from the application of the disqualification provision of Rule 506(d)(1)(iv)(B) under the Securities Act resulting from the entry of the SEC's previous Order against Barclays Capital Inc. According to the SEC: "the Commission has determined that BCI has made a showing of good cause under Rule 506(d)(2)(ii) that it is not necessary under the circumstances to deny reliance on Rule 506 of Regulation D by reason of the entry of the Order against BCI."