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<bill bill-stage="Reported-in-House" bill-type="olc" dms-id="HF24AD554845A4A3D8C524A73F4229257" key="H" public-private="public">
	<metadata xmlns:dc="http://purl.org/dc/elements/1.1/">
<dublinCore>
<dc:title>115 HR 6321 RH: Investment Adviser Regulatory Flexibility Improvement Act</dc:title>
<dc:publisher>U.S. House of Representatives</dc:publisher>
<dc:date>2018-07-10</dc:date>
<dc:format>text/xml</dc:format>
<dc:language>EN</dc:language>
<dc:rights>Pursuant to Title 17 Section 105 of the United States Code, this file is not subject to copyright protection and is in the public domain.</dc:rights>
</dublinCore>
</metadata>
<form>
		<distribution-code display="yes">IB</distribution-code>
		<calendar display="yes">Union Calendar No. 682</calendar>
		<congress display="yes">115th CONGRESS</congress><session display="yes">2d Session</session>
		<legis-num display="yes">H. R. 6321</legis-num>
		<associated-doc display="yes" role="report">[Report No. 115–884]</associated-doc>
		<current-chamber display="yes">IN THE HOUSE OF REPRESENTATIVES</current-chamber>
		<action display="yes">
			<action-date date="20180710">July 10, 2018</action-date>
			<action-desc><sponsor name-id="M001160">Ms. Moore</sponsor> (for herself and <cosponsor name-id="H001058">Mr. Huizenga</cosponsor>) introduced the following bill; which was referred to the <committee-name committee-id="HBA00">Committee on Financial Services</committee-name></action-desc>
		</action>
		<action>
			<action-date>August 3, 2018</action-date>
			<action-desc>Committed to the Committee of the Whole House on the State of the Union and ordered to be printed<pagebreak></pagebreak></action-desc>
		</action>
		<legis-type>A BILL</legis-type>
		<official-title display="yes">To require the Securities and Exchange Commission to revise the definitions of a <quote>small business</quote> and <quote>small organization</quote> for purposes of assessing the impact of the Commission’s rulemakings under the Investment Advisers
			 Act of 1940.<pagebreak></pagebreak></official-title>
	</form>
	<legis-body id="H55E1602E95444D50B0F777EDFD25720E" style="OLC">
 <section id="H88FEB5A78FB74C3A8758B4C9B7C203FB" section-type="section-one"><enum>1.</enum><header>Short title</header><text display-inline="no-display-inline">This Act may be cited as the <quote><short-title>Investment Adviser Regulatory Flexibility Improvement Act</short-title></quote>.</text> </section><section id="H0ACFDFE67B754A5287C184C787A23316"><enum>2.</enum><header>Definition of small business of small organization</header><text display-inline="no-display-inline">Not later than end the of the 1-year period beginning on the date of the enactment of this Act, the Securities and Exchange Commission shall revise the definitions of a <quote>small business</quote> and <quote>small organization</quote> under section 275.0–7 of title 17, Code of Federal Regulations, to provide alternative methods under which a business or organization may qualify as a <quote>small business</quote> or <quote>small organization</quote> under such section. In making such revision, the Commission shall consider whether such alternative methods should include a threshold based on the number of non-clerical employees of the business or organization.</text>
		</section></legis-body>
	<endorsement display="yes">
		<action-date>August 3, 2018</action-date>
		<action-desc>Committed to the Committee of the Whole House on the State of the Union and ordered to be printed</action-desc></endorsement>
</bill>


