http://fundontology.com/fr/rule/Rules_Investment_Adviser_Act.ttl#Exempted_Ex_USC_s80b_3_b_2_Insurance_clients
Class 'fr-rule-iaa:Exempted ex. USC § 80b–3 (b) (2) - Insurance clients only'


rdf:type
owl:Class
rdfs:comment
A simplification for the Fund Regulation Prototype and the limited sample data. We don't examine the type of contract and whether the adviser has contracts with non-insurers.
rdfs:label
Exempted ex. USC § 80b–3 (b) (2) - Insurance clients only
rdfs:subClassOf
fr-rule-iaa:Legal Status Expression: Defined as Service
owl:equivalentClass
lkif-jc-core:considered_by value fr-rule-iaa:Financial Rule Exempted U.S. Code § 80b–3 (b) (2) Insurance clients
fr-fin-ref:Investment Adviser
and (fro-fin-ref:is Principal some (fibo-fnd-agr-ctr:Contract
and (fibo-fnd-agr-ctr:hasContractParty some fibo-fbc-fct-fse:InsuranceCompany)))
skos:definition
An equivalent class for FIBO Functional Business Entities that are exempted from Securities & Exchange Commission registration under U.S. Code § 80b–3 (b) (3) : “any investment adviser whose only clients are insurance companies; ". The equivalent class simply consits of all FIBO Investment Advisers that are principal to contracts with Insurance Companies. Inferred members are considered by the exclusion rule, which applies the exclusion status.

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