Memo #
2006

INDIANA ISSUES MANUAL EXEMPTION ORDER

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July 3, 1990 TO: UNIT INVESTMENT TRUST MEMBERS NO. 43-90 RE: INDIANA ISSUES MANUAL EXEMPTION ORDER __________________________________________________________ The Indiana Securities Commissioner recently issued an administrative order outlining the conditions for claiming the manual exemption from registration set forth in Section 23-2-1- (b)(3)(C)(i) of the Indiana Securities Act. The Order provides that the exemption is available for a security issued by an investment company registered under the Investment Company Act of 1940 listed in a securities manuals published by Moody's, Standard & Poor's, and Best's Insurance Reports. Attached is a copy of the Order. Patricia Louie Assistant General Counsel Attachment

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