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Year 2000 Compliance, Investment Advisers Report -- Rule 204-5 under the Investment Advisers Act of 1940, 17 CFR 275
Year 2000 Compliance, Investment Advisers Report -- Rule 204-5 under the Investment Advisers Act of 1940, 17 CFR 275
OMB: 3235-0513
IC ID: 35295
OMB.report
SEC
OMB 3235-0513
ICR 199807-3235-001
IC 35295
( )
Documents and Forms
Document Name
Document Type
no available documents/forms check other ICs listed under this ICR
Information Collection (IC) Details
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IC Title:
Year 2000 Compliance, Investment Advisers Report -- Rule 204-5 under the Investment Advisers Act of 1940, 17 CFR 275
Agency IC Tracking Number:
Is this a Common Form?
No
IC Status:
Migrated
Obligation to Respond:
Mandatory
CFR Citation:
Information Collection Instruments:
Document Type
Form No.
Form Name
Instrument File
URL
Available Electronically?
Can Be Submitted Electronically?
Electronic Capability
Form
SEC-2436
Yes
Yes
Federal Enterprise Architecture Business Reference Module
Line of Business:
Subfunction:
Privacy Act System of Records
Title:
FR Citation:
Number of Respondents:
6,500
Number of Respondents for Small Entity:
0
Affected Public:
Private Sector
Private Sector:
Businesses or other for-profits
Percentage of Respondents Reporting Electronically:
100 %
Approved
Program Change Due to New Statute
Program Change Due to Agency Discretion
Change Due to Adjustment in Agency Estimate
Change Due to Potential Violation of the PRA
Previously Approved
Annual Number of Responses for this IC
6,500
0
6,500
0
0
0
Annual IC Time Burden (Hours)
14,782
0
14,782
0
0
0
Annual IC Cost Burden (Dollars)
6,000
0
6,000
0
0
0
Documents for IC
Title
Document
Date Uploaded
Blank fields in records indicate information that was not collected or not collected electronically prior to July 2006.