TA-1/A : Filer Information
Submission Contact Information
The registrant may provide a single e-mail address for contact purposes.
1(f)(i). Contact Name: | |
1(f)(ii). Contact Phone Number: | |
1(f)(iii). Contact E-Mail Address: | |
Notification Information
The registrant may provide additional e-mail addresses for those persons the filer would like to receive notification e-mails regarding the filing.
1(g). Notification E-mail Address: | |
TA-1/A : Registrant Information
2. Appropriate regulatory agency (check one): | Securities and Exchange Commission Federal Deposit Insurance Corporation Comptroller of the Currency |
3(a). Full Name of Registrant: | MUFG Investor Services (US) LLC |
3(a)(i). Previous name, if being amended: | MUFG Investor Services (US), LLC |
3(b). Financial Industry Number (FINS) number: | 269647 |
3(c). Address of principal office where transfer agent activities are, or will be, performed:
3(c)(i). Address 1 | 805 King Farm Blvd. |
3(c)(ii). Address 2 | Suite 600 |
3(c)(iii). City | Rockville |
3(c)(iv). State or Country | MARYLAND |
3(c)(v). Postal Code | 20850 |
3(d). Is Mailing address different from response to Question 3c? If "yes" provide address(es): | Yes No |
3(e). Telephone Number (Include Area Code) | 240-614-4800 |
4. Does Registrant conduct, or will it conduct, transfer agent activities at any location other than that given in Questions 3(c) above? If "Yes" provide address (es): | Yes No |
5. Does registrant act, or will it act, as a transfer agent solely for its own securities, and/or securities of an affiliate(s)? | Yes No |
6. Has registrant, as a named transfer agent, engaged, or will it engage, a service company to perform any transfer agent functions? | Yes No |
7. Has registrant been engaged, or will it be engaged as a service company by a named transfer agent to perform transfer agent functions? | Yes No |
If "Yes" provide the name(s) and File Number(s) of the named transfer agent(s) for which the registrant has been engaged, or will be engaged, as a service company to perform transfer agent functions:
Engaged transfer agent company information Related to item 7 Record: 1
7(a). Name | Gemini Fund Services |
7(b). File Number | |
7(c)(i). Address 1 | 4020 S 147th Street |
7(c)(ii). Address 2 | |
7(c)(iii). City | Omaha |
7(c)(iv). State or Country | NEBRASKA |
7(c)(v). Postal Code | 68137 |
TA-1/A : Independent, Non-Issuer Registrant Information
Completion of Question 8 on this form is required by all independent, non-issuer registrants whose appropriate regulatory authority is the Securities and Exchange Commission. Those registrants who are not required to complete Question 8 should select "Not Applicable".
8. Is registrant a: | Other | Limited Liability Company |
Section for Initial Registration and for Amendments Reporting Additional Persons.
Proprietor or other entity information Related to item 8 Record: 1
8(a)(i). Full Name | MUFG Fund Services (USA) LLC |
8(a)(ii). Relationship Start Date | 07/01/2017 |
8(a)(iii). Title or Status | Sole Owner |
8(a)(iv). Description of Authority | 100% ownership of MUFG Investor Services |
8(a)(v). Relationship End Date | |
9. Does any person or entity not named in the answer to Question 8:
9(a). directly or indirectly, through agreement or otherwise exercise or have the power to exercise control over the management or policies of applicant, or;…. | Yes No |
Entity information Related to item 9(a) Record: 1
9(a)(i). Exact name of each person or entity: | Nicholas Sgammato |
9(a)(ii). Description of the Agreement or other basis: | Chief Compliance Officer of MUFG Investor Services (US) LLC |
Entity information Related to item 9(a) Record: 2
9(a)(i). Exact name of each person or entity: | James Fisher |
9(a)(ii). Description of the Agreement or other basis: | Deputy Chief Executive Officer of MUFG Investor Services (US) LLC |
Entity information Related to item 9(a) Record: 3
9(a)(i). Exact name of each person or entity: | Hideyuki Toriumi |
9(a)(ii). Description of the Agreement or other basis: | Chief Risk Officer of MUFG Investor Services (US) LLC |
Entity information Related to item 9(a) Record: 4
9(a)(i). Exact name of each person or entity: | Joseph Arruda |
9(a)(ii). Description of the Agreement or other basis: | Managing Director of MUFG Investor Services (US) LLC |
Entity information Related to item 9(a) Record: 5
9(a)(i). Exact name of each person or entity: | MUFG Americas Holding Corporation |
9(a)(ii). Description of the Agreement or other basis: | 100% ownership stake in MUFG Fund Services (USA) LLC |
Entity information Related to item 9(a) Record: 6
9(a)(i). Exact name of each person or entity: | MUFG Bank, Ltd. |
9(a)(ii). Description of the Agreement or other basis: | 95.11% ownership stake in MUFG Americas Holding Corporation |
Entity information Related to item 9(a) Record: 7
9(a)(i). Exact name of each person or entity: | Mitsubishi UFJ Trust & Banking Corporation |
9(a)(ii). Description of the Agreement or other basis: | Provides strategic planning for the Global MUFG Investor Services Division, including MUFG Investor Services (US) LLC |
Entity information Related to item 9(a) Record: 8
9(a)(i). Exact name of each person or entity: | Mitsubishi UFJ Financial Group, Inc. |
9(a)(ii). Description of the Agreement or other basis: | 100% ownership stake in MUFG Bank, Ltd. and Mitsubishi UFJ Trust & Banking Corporation; 4.89% ownership stake in MUFG Americas Holding Corporation |
Entity information Related to item 9(a) Record: 9
9(a)(i). Exact name of each person or entity: | Gregory Cohen |
9(a)(ii). Description of the Agreement or other basis: | Head of Transfer Agent, MUFG Investor Services (US) LLC |
Entity information Related to item 9(a) Record: 10
9(a)(i). Exact name of each person or entity: | Young Kim |
9(a)(ii). Description of the Agreement or other basis: | Chief Financial Officer, MUFG Investor Services (US) LLC |
Entity information Related to item 9(a) Record: 11
9(a)(i). Exact name of each person or entity: | Shinya Matsuzaki |
9(a)(ii). Description of the Agreement or other basis: | Chief Executive Officer of MUFG Investor Services (US) LLC |
Entity information Related to item 9(a) Record: 12
9(a)(i). Exact name of each person or entity: | Michael Scalzi |
9(a)(ii). Description of the Agreement or other basis: | Interim President, MUFG Investor Services (US) LLC |
Entity information Related to item 9(a) Record: 13
9(a)(i). Exact name of each person or entity: | Akira Iwamoto |
9(a)(ii). Description of the Agreement or other basis: | Board Manager of MUFG Investor Services (US) LLC |
9(b). wholly or partially finance the business of the applicant, directly or indirectly, in any manner other than by a public offering of securities made pursuant to the Securities Act of 1933 or by credit extended in the ordinary course of business by suppliers, banks and others?….. | Yes No |
TA-1/A : 10. Applicant and Control Affiliate Disciplinary History
The following definitions apply for purposes of answering this Question 10
Control Affiliate | - An individual or firm that directly or indirectly controls, is under common control with, or is controlled by applicant. Included are any employees identified in 8(a), 8(b), 8(c) of this form as exercising control. Excluded are any employees who perform solely clerical, administrative support of similar functions, or who, regardless of title, perform no executive duties or have no senior policy making authority. |
Investment or investment related | - Pertaining to securities, commodities, banking, insurance, or real estate (including, but not limited to, acting as or being associated with a broker dealer, investment company, investment adviser, futures sponsor, bank, or savings and loan association). |
Involved | - Doing an act of aiding, abetting, counseling, commanding, inducing, conspiring with or failing reasonably to supervise another in doing an act. |
10(a). In the past ten years has the applicant or a control affiliate been convicted of or plead guilty or nolo contendere ("no contest") to:
10(a)(1). a felony or misdemeanor involving: investments or an investment-related business, fraud, false statements or omissions, wrongful taking of property, or bribery, forgery, counterfeiting, or extortion? | Yes No |
10(a)(2). any other felony? | Yes No |
10(b). Has any court in the past ten years: |
10(b)(1). enjoined the applicant or a control affiliate in connection with any investment-related activity? | Yes No |
10(b)(2). found that the applicant or control affiliate was involved in a violation of investment-related statutes or regulations? | Yes No |
10 (c). Has the U.S. Securities and Exchange Commission or the Commodity Futures Trading Commission ever: |
10(c)(1). found the applicant or control affiliate to have made a false statement or omission? | Yes No |
10(c)(2). found the applicant or control affiliate to have been involved in a violation of its regulation or statutes? | Yes No |
Entity information Related to item 10(c)(2) Record: 1
10(c)(2)(i). The individuals named in the Action | MUFG Securities Americas Inc. f.k.a. Mitsubishi UFJ Securities (USA) Inc. |
10(c)(2)(ii). Title of Action | Docket/Case Number 3-17094 |
10(c)(2)(iii). Date of Action | 02/02/2016 |
10(c)(2)(iv). The Court or body taking the Action and its location | US Securities & Exchange Commission |
10(c)(2)(v). Description of the Action | SEC alleged that Mitsubishi UFJ Securities (USA) Inc. ("MUS(USA)") violated Section 17(A)(2) of the Securities Act in connection with its underwriting of certain municipal securities offerings. |
10(c)(2)(vi). The disposition of the proceeding | Without admitting or denying the findings, MUS(USA) consented to (1) cease and desist from further violations; (2) pay a civil monetary penalty of $20,000. |
Entity information Related to item 10(c)(2) Record: 2
10(c)(2)(i). The individuals named in the Action | MUFG Securities Americas Inc. |
10(c)(2)(ii). Title of Action | Docket/Case Number 3-18914 |
10(c)(2)(iii). Date of Action | 12/10/2018 |
10(c)(2)(iv). The Court or body taking the Action and its location | US Securities & Exchange Commission |
10(c)(2)(v). Description of the Action | MUFG Securities Americas Inc. ("MUSA") allegedly submitted incomplete or deficient information in response to SEC electronic blue sheet (EBS) requests. |
10(c)(2)(vi). The disposition of the proceeding | The Order requires that MUSA: 1. Cease and desist from committing or causing any violations and any future violations of Section 17(a)(1) of the Exchange Act; 2. Receive a censure; and 3. Pay a civil monetary fine of $1.4 million USD. |
Entity information Related to item 10(c)(2) Record: 3
10(c)(2)(i). The individuals named in the Action | MUFG Bank, Ltd. f.k.a. Bank of Tokyo-Mitsubishi UFJ, Ltd. |
10(c)(2)(ii). Title of Action | Docket/Case Number 17-21 |
10(c)(2)(iii). Date of Action | 08/07/2017 |
10(c)(2)(iv). The Court or body taking the Action and its location | Commodity Futures Trading Commission (CFTC) |
10(c)(2)(v). Description of the Action | Bank of Tokyo-Mitsubishi UFJ, Ltd. ("BTMU") self-disclosed to the CFTC that one of its traders engaged in the disruptive trading practice of "spoofing" various futures products on designated contract markets in the US, in violation of Commodity Exchange Act Section 4C(A)(5). |
10(c)(2)(vi). The disposition of the proceeding | BTMU consented to cease and desist from violating the Commodity Exchange Act's prohibition against spoofing, and was fined $600,000 USD. |
10(c)(3). found the applicant or control affiliate to have been a cause of an investment-related business having its authorization to do business denied, suspended, revoked or restricted? | Yes No |
10(c)(4). entered an order denying, suspending or revoking the applicant’s or control affiliate’s registration or otherwise disciplined it by restricting its activities? | Yes No |
10(d). Has any other Federal regulatory agency or any state regulatory agency : |
10(d)(1). ever found the applicant or control affiliate to have made a false statement or omission or to have been dishonest, unfair, or unethical? | Yes No |
10(d)(2). ever found the applicant or control affiliate to have been involved in a violation of investment-related regulations or statutes? | Yes No |
Entity information Related to item 10(d)(2) Record: 1
10(d)(2)(i). The individuals named in the Action | MUFG Securities Americas Inc. f.k.a. Mitsubishi UFJ Securities (USA) Inc. |
10(d)(2)(ii). Title of Action | Docket/Case Number 13-011 |
10(d)(2)(iii). Date of Action | 03/21/2013 |
10(d)(2)(iv). The Court or body taking the Action and its location | Ohio Division of Securities |
10(d)(2)(v). Description of the Action | Ohio Division of Securities alleged that Mitsubishi UFJ Securities (USA) Inc. ("MUS(USA)") had been operating as a securities dealer in the state of Ohio without an Ohio dealer's license. |
10(d)(2)(vi). The disposition of the proceeding | MUS(USA) consented to cease and desist from further violations, and also agreed to disgorge the commissions and markups for all transactions made during the period. |
Entity information Related to item 10(d)(2) Record: 2
10(d)(2)(i). The individuals named in the Action | MUFG Bank, Ltd. f.k.a. Bank of Tokyo-Mitsubishi UFJ, Ltd. |
10(d)(2)(ii). Title of Action | Consent Order under New York Banking Law 39 and 44 |
10(d)(2)(iii). Date of Action | 11/18/2014 |
10(d)(2)(iv). The Court or body taking the Action and its location | New York State Department of Financial Services (NYDFS) |
10(d)(2)(v). Description of the Action | NYDFS alleged that Bank of Tokyo-Mitsubishi UFJ, Ltd. ("BTMU") misled NYDFS in reaching settlement terms of a prior 2013 consent order. BTMU also allegedly failed to maintain accurate books at its NY Branch. |
10(d)(2)(vi). The disposition of the proceeding | BTMU consented to pay a civil monetary penalty of $315 million USD. The NYDFS investigation led to the resignation from BTMU of the NY Branch Compliance Manager. |
Entity information Related to item 10(d)(2) Record: 3
10(d)(2)(i). The individuals named in the Action | MUFG Bank, Ltd. f.k.a. Bank of Tokyo-Mitsubishi UFJ, Ltd. |
10(d)(2)(ii). Title of Action | Consent Order under New York Banking Law 44 |
10(d)(2)(iii). Date of Action | 06/19/2013 |
10(d)(2)(iv). The Court or body taking the Action and its location | New York State Department of Financial Services (NYDFS) |
10(d)(2)(v). Description of the Action | NYDFS alleged that Bank of Tokyo-Mitsubishi UFJ, Ltd. ("BTMU") committed violations of Economic Sanctions laws. The alleged violations were involving Iran, Sudan, Myanmar, and certain entities on OFAC's Specially Designated Nationals list. |
10(d)(2)(vi). The disposition of the proceeding | BTMU consented to pay a civil monetary penalty of $250 million USD. BTMU also consented to hire an independent consultant, who will review its Compliance Program. |
Entity information Related to item 10(d)(2) Record: 4
10(d)(2)(i). The individuals named in the Action | MUFG Bank, Ltd. f.k.a. Bank of Tokyo-Mitsubishi UFJ, Ltd. |
10(d)(2)(ii). Title of Action | Enforcement Action for 12/12/2012 |
10(d)(2)(iii). Date of Action | 12/12/2012 |
10(d)(2)(iv). The Court or body taking the Action and its location | Office of Foreign Asset Control (OFAC) |
10(d)(2)(v). Description of the Action | OFAC alleged that Bank of Tokyo-Mitsubishi UFJ, Ltd. ("BTMU") violated the Burmese Sanctions Regulations, 31 CFR part 537; the Iranian Transactions Regulations, 31 CFR part 560; and Executive Order 13382. |
10(d)(2)(vi). The disposition of the proceeding | BTMU consented to pay a civil monetary penalty of $8,571,634 USD. BTMU also consented to undertake significant remediation to improve its OFAC compliance policies and procedures. |
Entity information Related to item 10(d)(2) Record: 5
10(d)(2)(i). The individuals named in the Action | MUFG Bank, Ltd. |
10(d)(2)(ii). Title of Action | Consent Order #2019-004 |
10(d)(2)(iii). Date of Action | 02/22/2019 |
10(d)(2)(iv). The Court or body taking the Action and its location | Office of the Comptroller of the Currency (OCC) |
10(d)(2)(v). Description of the Action | The OCC found that the New York, Chicago, and Los Angeles branches of MUFG Bank, Ltd. had deficiencies in their Bank Secrecy Act compliance programs. |
10(d)(2)(vi). The disposition of the proceeding | The order requires the MUFG Bank, Ltd. branches to take comprehensive corrective actions to improve their Bank Secrecy Act and anti-money laundering compliance programs. |
Entity information Related to item 10(d)(2) Record: 6
10(d)(2)(i). The individuals named in the Action | MUFG Union Bank N.A. f.k.a. Union Bank of California, N.A. |
10(d)(2)(ii). Title of Action | Docket/Case #2007-110 (OCC) |
10(d)(2)(iii). Date of Action | 09/14/2007 |
10(d)(2)(iv). The Court or body taking the Action and its location | Office of the Comptroller of the Currency & Financial Crimes Enforcement Network |
10(d)(2)(v). Description of the Action | Union Bank of California, N.A. (UB) allegedly failed to comply with suspicious activity reporting requirements. UB also allegedly failed to comply with the requirements of a Memorandum of Understanding it entered into in 2005, including an article that required the bank to improve its processes for identifying and reporting suspicious transactions. |
10(d)(2)(vi). The disposition of the proceeding | UB consented to the payment of the civil money penalties, which was satisfied by a single payment of $10 million to the U.S. Department of the Treasury. UB also consented to the issuance of an OCC Cease and Desist order. |
Entity information Related to item 10(d)(2) Record: 7
10(d)(2)(i). The individuals named in the Action | Mitsubishi UFJ Financial Group, Inc. & MUFG Bank, Ltd. f.k.a. Bank of Tokyo-Mitsubishi UFJ, Ltd. |
10(d)(2)(ii). Title of Action | Docket/Case Number 06-028 WA/RB (Fed/NYS Banking Dept) |
10(d)(2)(iii). Date of Action | 12/18/2006 |
10(d)(2)(iv). The Court or body taking the Action and its location | Federal Reserve Board, NY State Banking Dept., & Federal Deposit Insurance Corp. |
10(d)(2)(v). Description of the Action | The joint release order determined that Bank of Tokyo-Mitsubishi UFJ, Ltd. failed to implement adequate Bank Secrecy Act and anti-money laundering compliance programs. |
10(d)(2)(vi). The disposition of the proceeding | Mitsubishi UFJ Financial Group, Inc entered into a written agreement with the Federal Reserve Banks of SF and NY, and the NY State Banking Dept. Bank of Tokyo-Mitsubishi UFJ, Ltd. consented to an order to cease and desist issued by the FDIC. |
Entity information Related to item 10(d)(2) Record: 8
10(d)(2)(i). The individuals named in the Action | MUFG Bank, Ltd. |
10(d)(2)(ii). Title of Action | Docket/Case # 1:17-CV-08691 |
10(d)(2)(iii). Date of Action | 06/24/2019 |
10(d)(2)(iv). The Court or body taking the Action and its location | New York State Department of Financial Services (NYDFS) |
10(d)(2)(v). Description of the Action | Following MUFG Bank, Ltd.'s (MUFGBK) conversion of its state banking licenses issued by NYDFS to federal banking licenses issued by the Office of the Comptroller of the Currency (OCC) in November 2017, NYDFS issued an order asserting continuing regulatory authority over MUFGBK. MUFGBK thus filed a lawsuit seeking a declaration that NYDFS did not have continuing authority over it. In response, NYDFS filed counterclaims against MUFGBK under banking and related laws. |
10(d)(2)(vi). The disposition of the proceeding | Under the terms of the settlement, MUFGBK and NYDFS released all of their claims against each other, NYDFS agreed not to challenge the validity of the licenses issued by the OCC, and MUFGBK agreed to make a $33m settlement payment. |
Entity information Related to item 10(d)(2) Record: 9
10(d)(2)(i). The individuals named in the Action | MUFG Union Bank, N.A. |
10(d)(2)(ii). Title of Action | Docket/Case Number: AA-EC-2019-36 |
10(d)(2)(iii). Date of Action | 07/29/2019 |
10(d)(2)(iv). The Court or body taking the Action and its location | Office of the Comptroller of the Currency |
10(d)(2)(v). Description of the Action | The OCC issued a consent order against affiliate MUFG Union Bank, N.A. pursuant to section 102(F) of the Flood Disaster Protection Act. |
10(d)(2)(vi). The disposition of the proceeding | The total fine issued by the OCC against MUFG Union Bank, N.A. was $109,667. |
10(d)(3). ever found the applicant or control affiliate to have been a cause of an investment-related business having its authorization to do business Denied, suspended, revoked or restricted? | Yes No |
10(d)(4). in the past ten years entered an order against the applicant or control affiliate in connection with investment-related activity? | Yes No |
10(d)(5). ever denied, suspended, or revoked applicant’s or control affiliate’s registration or license, or prevented it from associating with an investment-related business, or otherwise disciplined it by restricting its activities? | Yes No |
10(d)(6). ever revoked or suspended the applicant’s or a control affiliate’s license as an attorney or accountant? | Yes No |
10(e). Has any self-regulatory organization or commodities exchange ever:
10(e)(1). found the applicant or a control affiliate to have made a false statement or omission? | Yes No |
10(e)(2). found the applicant or a control affiliate to have been involved in a violation of its rules? | Yes No |
Entity information Related to item 10(e)(2) Record: 1
10(e)(2)(i). The individuals named in the Action | MUFG Securities Americas Inc. f.k.a. Mitsubishi UFJ Securities (USA) Inc. |
10(e)(2)(ii). Title of Action | Docket/Case Number 2007008490201 |
10(e)(2)(iii). Date of Action | 03/04/2009 |
10(e)(2)(iv). The Court or body taking the Action and its location | Financial Industry Regulatory Authority, Inc. |
10(e)(2)(v). Description of the Action | Mitsubishi UFJ Securities (USA) Inc. ("MUS(USA)") allegedly permitted an employee to perform certain functions requiring principal registration while he was not registered with FINRA in that capacity. |
10(e)(2)(vi). The disposition of the proceeding | Without admitting or denying the findings, MUS(USA) consented to the described sanctions and to entry of findings; therefore, the firm is censured and fined $15,000 USD. |
Entity information Related to item 10(e)(2) Record: 2
10(e)(2)(i). The individuals named in the Action | UnionBanc Investment Services LLC |
10(e)(2)(ii). Title of Action | Docket/Case Number 2011027734901 |
10(e)(2)(iii). Date of Action | 12/23/2013 |
10(e)(2)(iv). The Court or body taking the Action and its location | Financial Industry Regulatory Authority, Inc. |
10(e)(2)(v). Description of the Action | UnionBanc Investment Services LLC ("UBIS") allegedly purchased/sold agency securities for its own account to/from customers in violation of FINRA Rule 2010. |
10(e)(2)(vi). The disposition of the proceeding | Without admitting or denying the findings, UBIS consented to the described sanctions and to entry of findings; therefore, the firm was censured and fined. |
Entity information Related to item 10(e)(2) Record: 3
10(e)(2)(i). The individuals named in the Action | MUFG Securities Americas Inc. f.k.a. Mitsubishi UFJ Securities (USA) Inc. |
10(e)(2)(ii). Title of Action | Docket/Case Number 2006005325701 |
10(e)(2)(iii). Date of Action | 07/11/2007 |
10(e)(2)(iv). The Court or body taking the Action and its location | Financial Industry Regulatory Authority, Inc. f.k.a. NASD |
10(e)(2)(v). Description of the Action | The National Association of Securities Dealers ("NASD") alleged that Mitsubishi UFJ Securities (USA) Inc. ("MUS(USA)") failed to report to the trade reporting and compliance engine (TRACE) the lower of yield to call or yield to maturity for TRACE-eligible securities. MUS(USA) failed to enforce its written supervisory procedures. |
10(e)(2)(vi). The disposition of the proceeding | Without admitting or denying the findings, MUS(USA) consented to the described sanctions and to the entry of findings; therefore, the firm was censured and fined $10,000 USD. |
10(e)(3). found the applicant or a control affiliate to have been the cause of an investment-related business losing its authorization to do business? | Yes No |
10(e)(4). disciplined the applicant or a control affiliate by expelling or suspending it from membership, by barring or suspending its association with other members, or by otherwise restricting its activities? | Yes No |
10(f). Has any foreign government, court, regulatory agency or exchange ever entered an order against the applicant or a control affiliate related to investments or fraud? | Yes No |
Entity information Related to item 10(f) Record: 1
10(f)(i). The individuals named in the Action | MUFG Bank, Ltd. f.k.a. Bank of Tokyo-Mitsubishi UFJ, Ltd. |
10(f)(ii). Title of Action | JFSA Administrative Order |
10(f)(iii). Date of Action | 11/13/2009 |
10(f)(iv). The Court or body taking the Action and its location | Japan Financial Services Agency (JFSA) |
10(f)(v). Description of the Action | The JFSA noted that there were deficiencies in the compliance management programs at certain Bank of Tokyo-Mitsubishi, Ltd. ("BTMU") branches. |
10(f)(vi). The disposition of the proceeding | An administrative order was issued for business improvement and partial business suspension in respect to compliance management issues at certain BTMU branches. |
Entity information Related to item 10(f) Record: 2
10(f)(i). The individuals named in the Action | MUFG Bank, Ltd. f.k.a. Bank of Tokyo-Mitsubishi UFJ, Ltd. |
10(f)(ii). Title of Action | JFSA Administrative Order |
10(f)(iii). Date of Action | 09/11/2009 |
10(f)(iv). The Court or body taking the Action and its location | Japan Financial Services Agency (JFSA) |
10(f)(v). Description of the Action | The JFSA noted that there were deficiencies in Bank of Tokyo-Mitsubishi, Ltd. ("BTMU") overseas business and domestic investment operations. |
10(f)(vi). The disposition of the proceeding | An administrative order was issued for business improvement with respect to BTMU overseas business and domestic investment operations. |
Entity information Related to item 10(f) Record: 3
10(f)(i). The individuals named in the Action | MUFG Bank, Ltd. f.k.a. Bank of Tokyo-Mitsubishi UFJ, Ltd. & MUFG Securities EMEA PLC |
10(f)(ii). Title of Action | PRA Enforcement Order |
10(f)(iii). Date of Action | 02/09/2017 |
10(f)(iv). The Court or body taking the Action and its location | Prudential Regulation Authority (PRA) |
10(f)(v). Description of the Action | The PRA alleged that the Bank of Tokyo-Mitsubishi, Ltd. ("BTMU") and MUFG Securities EMEA PLC failed to be open and cooperative with the PRA in relation to an enforcement action into BTMU by the New York Department of Financial Services. |
10(f)(vi). The disposition of the proceeding | The PRA imposed a fine of 17.85M GBP on BTMU and a fine of 8.925M GBP on MUFG Securities EMEA PLC. |
Entity information Related to item 10(f) Record: 4
10(f)(i). The individuals named in the Action | MUFG Bank, Ltd. |
10(f)(ii). Title of Action | Docket/Case Number AT.40135 |
10(f)(iii). Date of Action | 05/16/2019 |
10(f)(iv). The Court or body taking the Action and its location | European Commission |
10(f)(v). Description of the Action | The European Commission, in a settlement decision, fined MUFG Bank, Ltd. (along with a number of other banks) for alleged violations of European Union anti-trust rules. |
10(f)(vi). The disposition of the proceeding | The total fine issued by the European Commission was 1.07b euros. The portion required to be paid by MUFG Bank, Ltd. was 69.75m euros (approx. $77.865 USD). |
Entity information Related to item 10(f) Record: 5
10(f)(i). The individuals named in the Action | MUFG Bank, Ltd. |
10(f)(ii). Title of Action | Settlement with Competition Commission |
10(f)(iii). Date of Action | 06/06/2019 |
10(f)(iv). The Court or body taking the Action and its location | Competition Commission (Switzerland) |
10(f)(v). Description of the Action | Switzerland's Competition Commission concluded amicable settlements with several banks, including MUFG Bank, Ltd., and fined the banks for alleged participation in anti-competitive arrangements in foreign exchange spot trading. |
10(f)(vi). The disposition of the proceeding | The total fine issued by Switzerland's Competition Commission against the banks was approx. CHF 90m, and the portion required to be paid by MUFG Bank, Ltd. was approx. CHF 1.5m. |
10(g). Is the applicant or a control affiliate now the subject of a proceeding that could result in a yes answer for questions 10(a) – 10(f) ? | Yes No |
10(h). Has a bonding company denied, paid out on, or revoked a bond for the applicant or a control affiliate? | Yes No |
10(i). Does the applicant or a control affiliate have any unsatisfied judgments or liens against it? | Yes No |
TA-1/A : Signature
ATTENTION: INTENTIONAL MISSTATEMENTS OR OMISSIONS OF FACT CONSTITUTE FEDERAL CRIMINAL VIOLATIONS. See 18 U.S.C. 1001 and 15 U.S.C. 78ff(a)
SIGNATURE: The registrant submitting this form, and as required, the SEC supplement and Schedules A-D, And the executing official hereby represent that all the information contained herein is true, correct and complete.
11(a). Signature of Official responsible for Form: | Nicholas Sgammato |
11(b). Telephone Number: | 212-899-2785 |
11(c). Title of Signing Officer: | Chief Compliance Officer |
11(d). Date Signed (Month/Day/Year): | 04/28/2021 |