94-7604. Self-Regulatory Organizations; National Association of Securities Dealers, Inc.; Order Approving Proposed Rule Change Creating Guidelines for Communications to the Public About Variable Life and Annuity Products  

  • [Federal Register Volume 59, Number 62 (Thursday, March 31, 1994)]
    [Unknown Section]
    [Page 0]
    From the Federal Register Online via the Government Publishing Office [www.gpo.gov]
    [FR Doc No: 94-7604]
    
    
    [[Page Unknown]]
    
    [Federal Register: March 31, 1994]
    
    
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    SECURITIES AND EXCHANGE COMMISSION
    [Release No. 34-33793; File No. SR-NASD-94-2]
    
     
    
    Self-Regulatory Organizations; National Association of Securities 
    Dealers, Inc.; Order Approving Proposed Rule Change Creating Guidelines 
    for Communications to the Public About Variable Life and Annuity 
    Products
    
    March 21, 1994.
        On January 6, 1994, the National Association of Securities Dealers, 
    Inc. (``NASD'' or ``Association'') filed with the Securities and 
    Exchange Commission (``SEC'' or ``Commission'') a proposed rule 
    change\1\ pursuant to Section 19(b)(1) of the Securities Exchange Act 
    of 1934 (``Act'')\2\ and Rule 19b-4 thereunder.\3\ The rule change 
    creates specific guidelines (``Guidelines'') under the NASD's rule 
    concerning Communications With the Public.\4\ In particular, these 
    Guidelines impose certain requirements on members who communicate with 
    the public about variable life and annuity products.
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        \1\The NASD amended the proposed rule change once subsequent to 
    its original filing on January 6, 1994. Letter from Suzanne E. 
    Rothwell, Associate General Counsel, NASD, to Selwyn Notelovitz, 
    Branch Chief, SEC (Feb. 9, 1994). The Commission's publication for 
    notice and comment reflected the NASD's amendment.
        \2\15 U.S.C. 78s(b)(1) (1988).
        \3\17 CFR 240.19b-4 (1993).
        \4\NASD Manual, Rules of Fair Practice, Art. III, Sec. 35, (CCH) 
    2195.
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        Notice of the proposed rule change together with its terms of 
    substance was provided by issuance of a Commission release and by 
    publication in the Federal Register.\5\ No comments were received in 
    response to the Commission release. This order approves the proposed 
    rule change.
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        \5\Securities Exchange Act Release No. 33607 (Feb. 9, 1994), 59 
    FR 7279 (Feb. 15, 1994). The release number that appeared in the 
    Federal Register was 33067; this was subsequently corrected; 59 FR 
    9523 (Feb. 28, 1994).
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        The increase in the number of variable life insurance and annuity 
    products\6\ has led to an increase in the variety of ways in which 
    information about these products is communicated to the public. To 
    ensure that its members do not mislead prospective investors, the NASD 
    has proposed a comprehensive set of Guidelines for communicating with 
    the public regarding these products. The Guidelines govern the 
    preparation of, and communication with the public through, advertising 
    and sales literatures for variable products. The Guidelines are 
    intended to provide a level of disclosure sufficient to assist 
    investors in making fair and informed investment decisions.
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        \6\See e.g., Ellen E. Schultz, Investors are Flocking to Fund 
    Cousins; Variable Annuities, Wall St. J., Jan. 7, 1994, at R11.
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        The standards set forth in the Guidelines are in addition to the 
    standards set forth in Article III, Section 35 to the rules of Fair 
    Practice (``Rules'').\7\ The NASD is issuing the Guidelines pursuant to 
    the Board of Governors authority to interpret the Rules.\8\
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        \7\NASD Manual, Rules of Fair Practice, Art. III, Sec. 35, (CCH) 
    2195 (Communications with the Public).
        \8\NASD Manual, By-Laws, Art. VII, Sec. 1(a)(2), (CCH) 1181.
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        The Commission has determined to approve the NASD's proposal. The 
    Commission finds that the rule change is consistent with the 
    requirements of the Act and the rules and regulations thereunder 
    applicable to the NASD, including the requirements of Section 15A(b)(6) 
    of the Act.\9\ Section 15A(b)(6) requires, in part, that the rules of 
    the NASD be designed to prevent fraudulent and manipulative acts and 
    practices, promote just and equitable principles of trade, and to 
    protect investors and the public interest. These Guidelines will 
    provide greater protection to investors and the public interest by 
    adding to Section 35 of the NASD's Rules of Fair Practice comprehensive 
    Guidelines governing advertising and sales literature for variable 
    products. The Guidelines establish minimum standards and are intended 
    to provide a level of disclosure sufficient to assist investors in 
    making fair and informed investment decisions.
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        \9\15 U.S.C. 78o-3(b)(6).
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        It is therefore ordered, pursuant to Section 19(b)(2) of the Act, 
    that the proposed rule change SR-NASD-94-2 be, and hereby is approved.
    
        For the Commission, by the Division of Market Regulation, 
    pursuant to delegated authority.\10\
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        \10\17 CFR 200.30-3(a)(12).
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    Margaret H. McFarland,
    Deputy Secretary.
    [FR Doc. 94-7604 Filed 3-30-94; 8:45 am]
    BILLING CODE 8010-01-M
    
    
    

Document Information

Published:
03/31/1994
Department:
Securities and Exchange Commission
Entry Type:
Uncategorized Document
Document Number:
94-7604
Pages:
0-0 (1 pages)
Docket Numbers:
Federal Register: March 31, 1994, Release No. 34-33793, File No. SR-NASD-94-2