Private Placements, the Internet, and Securities Law for the General Practitioner
June 2016
Private Placements, the Internet, and Securities Law for the General Practitioner
Books in Action
Program Description:
Topics to be discussed include:
- Overview and What is a Security?
- Conditions and Mechanics of a Private Placement
- Broker-Dealers and Finders
- Use of the Internet, Rule 506(c) and Crowdfunding
- State and Federal Enforcement
- Obligations of Counsel
- Securities Regulation and the Marijuana Business
Each attendee receives a copy of the new 2016 Edition of the Securities Law Deskbook by Herrick K. Lidstone, Jr.!
Agenda:
8:00 am
Registration and Continental Breakfast
8:30 am
Overview and What is a security?
- A general overview of federal and Colorado laws regulating the offer and sale of securities
- The applicability of the securities laws to various forms of business entities and investments (including non-entity transactions, such as undivided interests in real estate and mineral properties)
- Debt and equity transactions involving securities
- Methods of avoiding classification of a transaction as a securities transaction where possible.
9:30 – 10:30 am
Conditions and Mechanics of a Private Placement
- The exemptions available, including:
§4(a)(2) and §4(a)(5)
Regulation D
Intrastate exemption under federal law
Available exemptions from registration under the Colorado Securities Act
Other state law
- The requirements for a private placement, including:
Prohibitions of general advertising for and public solicitation of potential investors
Requirements for investor sophistication and financial status
Information requirements for offerings involving accredited investors only as well as when the offering may be directed to non-accredited investors
Filing requirements
- The use of projections in disclosure documents for private placements
- The applicability of the “bespeaks caution” doctrine and various safe harbors
- Fund escrow agreements
- Subscription agreements and offeree questionnaires
- Resale restrictions that are applicable to securities issued in private placements
- Closing requirements for a private placement
10:30 am
Networking Break
10:40 am
Conditions and Mechanics of a Private Placement (continued)
11:30 am
Use of the Internet, Rule 506(c) and Crowdfunding
- The use of e-mail and issuer (or other person’s) websites in connection with private placements
- The effect of electronic communications on the private placement and other capital raising activities
- Issues under both federal and Colorado law
- NASAA’s “Resolution Regarding Securities Offered on the Internet”
- Rule 506(c) providing for the general solicitation of accredited investors
- Compliance and disclosure interpretations issued by the SEC
- Crowdfunding, both as adopted in Colorado (C.R.S. § 11-51-308.5) and by the Securities and Exchange Commission (Regulation CF, December 2015)
12:10 pm
Lunch (on your own)
1:30 pm
Broker-Dealers and Finders
- Placement agents
- Financial advisors
- Others who assist companies in private placement financing
- Registration requirements under federal and state law for broker-dealers
- Limited exemptions available for finders
- Federal and Colorado developments relating to M&A brokers
2:00 pm
Securities Regulation and the Marijuana Business
Like any other business, when seeking capital owners and operators of dispensaries, growers, and other participants in the marijuana business must comply with federal and state securities regulation. There are some unique aspects of the marijuana business that may make compliance more difficult, including:
- the limitation on the characteristics of “owners” of marijuana businesses,
- the apparent widespread use of finders locating investors for the industry; and,
- disclosure of the fact that the marijuana industry which is legal in Colorado remains illegal under federal law and the laws of neighboring states.
2:30 pm
Networking Break
2:40 pm
State and Federal Enforcement
- The bases for civil, criminal, and administrative liability under federal and Colorado law
- How the securities regulators find out about potential violations
- How regulators prosecute alleged violators
- Civil and criminal enforcement
- Private rights of action
- Cease-and-desist authority of the Colorado securities commissioner
3:20 pm
Obligations of Counsel
- Ethical issues of counsel under the rules adopted by the SEC under §307 of the Sarbanes-Oxley Act of 2002 and how these impact counsel for private businesses attempting private placements
- The applicability of the Colorado Rules of Professional Conduct to counsel’s role in the private placement process, including due diligence, document preparation, and counseling the client
- Whether counsel can accept limitations imposed by the client on counsel’s role in the transaction
- Rules 1.1 (competence)
- Rule 1.2 (scope), 1.6 (confidentiality)
- Rules 1.7-1.9 (conflicts of interest)
- Rule 1.13 (organization as a client)
- Rule 1.16 (declining or terminating representation)
- Rule 2.1 (advisor)
- Rule 2.3 (evaluation for use by third parties)
- Formal Opinions 68 (propriety of multiple representation)
- Formal Opinion 109 (acquiring an ownership interest in client)
4:10 pm
Adjourn
Presented by Herrick K. Lidstone, Jr., S. Lee Terry, Jr., and Rebecca Franciscus
Location Information
CBA-CLE Large Classroom
1900 Grant Street, Suite 300
Denver, CO 80203
Get directions
1900 Grant Street, Suite 300
Denver, CO 80203
Registration Fees
Non Member | $349.00 |
CBA Member | $309.00 |
CBA Business Law Section Member | $269.00 |
Paralegal/Legal Support Staff | $249.00 |
New Lawyer Edge Member | $0.00 |
CLE ELITE Pass Holder | $0.00 |
- General Credits: 7.00
- Ethics Credits: 1.00
- EDI Credits:
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