Notwithstanding SDCL 47-31B-102(16), the term "investment adviser representative" as it applies to a person who is employed by or associated with a federal covered investment adviser only includes an individual who has a "place of business" in this jurisdiction, as that term is defined in Part 275.203A-3(b) of the Investment Advisers Act of 1940 by the U.S. Securities and Exchange Commission, and who either:
solicits, offers or negotiates for the sale of or sells investment advisory services on behalf of a federal covered investment adviser.
S.D. Admin. R. 20:08:05:14
General Authority: SDCL 47-31B-605(a)(2).
Law Implemented: SDCL 47-31B-103, 47-31B-404(a).