2010 House Bill 6141

Revise investment adviser license detail

Introduced in the House

May 6, 2010

Introduced by Rep. Arlan Meekhof (R-89)

To exempt an investment adviser representative from having to take the examination required under a new uniform securities law if the person has taken a similar state exam in the last two years.

Referred to the Committee on Insurance

May 20, 2010

Reported without amendment

With the recommendation that the substitute (H-4) be adopted and that the bill then pass.