COMMISSIONER OF FINANCIAL INSTITUTIONS COMMONWEALTH OF PUERTO RICO

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COMMISSIONER OF FINANCIAL INSTITUTIONS COMMONWEALTH OF PUERTO RICO MEMORANDUM To: From: Subject: Broker-Dealers Securities Division Registration Requirements Forms that should be on file with the FINRA 1- Form BD electronically. 2- Financial Statements, including net capital computation dated no more than ninety (90) days prior to filing date. Every broker-dealer must maintain a minimum net capital as designated in Rule 15c3-11 for the activities of the broker-dealer. 3- One (1) copy of all currently effective subordinated agreements 4- One (1) copy of Articles of Incorporation, all amendments and By-Laws, Partnership Agreement, Articles of Formation, as applicable 5- Copy of the Clearing Agreement Fees that should be forwarded to the FINRA 1- Filing Fees a. $500 for broker-dealer registration b. $150 for each broker-dealer representative registration

Forms that must be forwarded to Puerto Rico 1- Corporate Resolution 2- Certifications: a. Broker-Dealer Questionnaire and Affidavit: Prior Sales b. Branch Office - certify that the broker-dealer will not open a branch office in Puerto Rico. Otherwise, an Authorization to do business in Puerto Rico issued by the Department of State of Puerto Rico is required (Dept. of State, Corporate Division, 787/722-2121 Exts. 6226, 6246 and 6332 or 787/724-3830). c. Name and CRD number of the designated principal for the company business in Puerto Rico. Post Effective Requirements: Annual Renewal Due date: December 31 of each year through the CRD System Fee: Same as initial fee Forms: Audited Financial Statement for the last fiscal year Certification: On or before February 28 of each year, the broker-dealer must submit in this Office the certification required by Section 1063.06 of the Internal Revenue Code for a New Puerto Rico (Act No. 1 of January 31, 2011). The Forms can be obtained by visiting the web page of the Department of the Treasury: www.hacienda.gobierno.pr. Any questions concerning this matter should be addressed to: Ms. Mariel Martínez Centro Europa Building 1492 Ponce de León Avenue, Suite 600 San Juan, PR 00907--4127 Phone: 787 / 723-3131, 723-8403 Exts. 2309, 2305 Fax: 787/723-4225 E-Mail: marielm@ocif.gobierno.pr Please be informed, that the above address is our address for SPECIAL DELIVERIES only. To send by regular mail, our postal address is: P.O. Box 11855 San Juan, Puerto Rico 00910-3855 Please use the physical address for SPECIAL DELIVERIES, OVERNIGHT or EXPRESS MAIL only. To send regular mail, use our postal address otherwise the mail will be returned. Forward to FINRA Forward to Puerto Rico

Form R-5 RESOLUTION RESOLVED, that the President and the Secretary of this corporation are hereby authorized and directed in the name of and on behalf of this corporation to take any and all action which they may deem necessary or advisable in order to register this corporation as a broker-dealer or as an investment adviser, or to register its securities for sale, under the Uniform Securities Act of Puerto Rico, and in connection with such registration to execute, acknowledge, verify, deliver, file and publish all documents and exhibits which may be required under said Act, including but not limited to application, reports, irrevocable consents to service of process, powers of attorney, and surety bonds, in the forms prescribed by the Commissioner or such other forms as to them may seem proper, and to take any and all further actions which they may deem necessary or advisable in order to maintain such registration in effect for as long as they may deem to be in the best interest of this corporation. CERTIFICATE I,, Secretary of, do certify that the foregoing is a true and exact copy of a resolution of the board of directors of said corporation, which resolution was duly made, passed and adopted at a legal meeting of said board of directors, held at, on the day of,, and that year the passage of said resolution was in all respects regular and in accordance with the by-laws of said corporation and remains in full force and effect. IN WITNESS WHEREOF, I have hereunto set my hand and affixed the corporate seal this day of,. year Secretary

BROKER-DEALER QUESTIONNAIRE AND AFFIDAVIT: PRIOR SALES Firm CRD No.: Date: Full Name of Broker-Dealer: SEC File No.: 8- The undersigned certifies as follows: I have conducted a thorough review into the activities of the Broker- Dealer listed above and, to the best of my knowledge within the past 36 months, the firm has not effected non-exempt transactions in the state(s) indicated below. Alabama Alaska Arizona Arkansas California Connecticut Delaware District of Columbia Florida Georgia Hawaii Idaho Illinois Indiana Iowa Kansas Kentucky Louisiana Maine Maryland Massachusetts Michigan Minnesota Mississippi Missouri Montana Nebraska Nevada New Hampshire New Jersey New Mexico New York North Carolina North Dakota Ohio Oklahoma Oregon Pennsylvania Puerto Rico Rhode Island South Carolina South Dakota Tennessee Texas Utah Vermont Virginia Washington West Virginia Wisconsin Wyoming ALL If any transaction were made in reliance upon an exemption, I have attached a list of those transactions. As to those transactions, I have identified the exemption upon which the broker-dealer relied and an explanation. For those transaction that occurred within the past 36 months which were effected without the benefit of an exemption. I am providing the following information: The accountholder's name, address and telephone number. Name of the security. Date and amount of the trade, including the commission paid to the Brokerdealer and to the Agent. The Agent who effected the transaction. I am aware that the state may verify this information with my clearing firm. I further certify that the listed above will refrain from transacting business as a Broker- Dealer in the jurisdictions shown until registration is completed. I acknowledge that if my response to any of the above is false or if the Broker-Dealer transacts business during the period prior to registration, the Broker-Dealer and I are subject to sanctions pursuant to the laws of the particular jurisdiction involved. Name of Principal (please print) Signature of Principal Subscribed and sworn before me this day of,. County of, State of. My commission expires. Notary Public

Example INVESTMENT ADVISER DUAL REGISTRATION CONSENT I,, a registered representative of, request written consent to act as a registered investment adviser. I am currently I am in the process of registration Such registration is in the name of Corporation, Partnership or Sole or Proprietor I understand that I must submit the following documents to - Copy of current Form ADV - Copy of most recently filed Form ADV-s (renewal form) - Copy of Advisory Agreement, Disclosure Statement and other related documents - Sales Brochures, If any - Proof of SEC and State registrations (copy of approval letter of certificate) Date Signature Registered Representative (print name) does hereby consent to the dual registration of the above signed registered representative as both an investment adviser and a registered representative. Date Print name and title