0001227021-15-000010.txt : 20151006
0001227021-15-000010.hdr.sgml : 20151006
20151006160020
ACCESSION NUMBER: 0001227021-15-000010
CONFORMED SUBMISSION TYPE: TA-1/A
PUBLIC DOCUMENT COUNT: 1
FILED AS OF DATE: 20151002
DATE AS OF CHANGE: 20151006
EFFECTIVENESS DATE: 20151012
FILER:
COMPANY DATA:
COMPANY CONFORMED NAME: BROWN BROTHERS HARRIMAN & CO
CENTRAL INDEX KEY: 0001227021
IRS NUMBER: 000000000
FILING VALUES:
FORM TYPE: TA-1/A
SEC ACT: 1934 Act
SEC FILE NUMBER: 084-06072
FILM NUMBER: 151146154
BUSINESS ADDRESS:
STREET 1: 140 BROADWAY
CITY: NEW YORK
STATE: NY
ZIP: 10005
BUSINESS PHONE: 617.742.1818
MAIL ADDRESS:
STREET 1: 40 WATER STREET
CITY: BOSTON
STATE: MA
ZIP: 02109
TA-1/A
1
primary_doc.xml
X0304
TA-1/A
LIVE
3.4.0
0001227021
084-06072
SEC
Brown Brothers Harriman & Co.
269159
50 Post Office Square
Boston
MA
MASSACHUSETTS
02110
false
617.742.1818
true
525 Washington Street
Newport Tower
Jersey City
NJ
NEW JERSEY
07310
For non-qualifying securities
30 Herbert Street
Dublin 2
L2
IRELAND
For non-qualifying securities
80, Route D'Esch
L-1470 Luxembourg
N4
LUXEMBOURG
For non-qualifying securities
13/F Man Yee Building, 68 Des Voeux Road
Hong Kong
K3
HONG KONG
For non-qualifying securities
Orange Office Park, ul. Klimeckiego 1
Krakow
R9
POLAND
false
false
false
Partnership
Thomas E. Berk
2005-01-01
Partner
NA
true
Brian A. Berris
1991-01-01
Partner
NA
true
Taylor S. Bodman
1999-01-01
Partner
A
true
John J. Borland
1998-01-01
Partner
NA
true
Geoffrey M. Cook
2009-01-01
Partner
NA
true
Jean-Marc Crepin
2015-01-01
PartnerPartner
NA
true
Carl S. Cutler
2008-01-01
Partner
NA
true
Douglas A. Donohue, Jr.
1990-01-01
Partner
A
true
Dario Galindo
2003-01-01
Partner
NA
true
Kathryn C. George
1998-01-01
Partner
NA
true
Timothy E. Hartch
2010-01-01
Partner
NA
true
Kyosuke Hashimoto
1992-01-01
Partner
NA
true
Charles O. Izard
2004-01-01
Partner
NA
true
Michael R. Keller
2015-01-01
Partner
NA
true
Jared S. Keyes
2011-01-01
Partner
NA
true
Radford W. Klotz
1995-01-01
Partner
A
true
Susan C. Livingston
1998-01-01
Partner
A
true
T. Michael Long
1984-01-01
Partner
NA
true
Hampton S. Lynch, Jr.
1984-01-01
Partner
A
true
Michael W. McConnell
1984-01-01
Partner
NA
true
Jeffrey B. Meskin
2011-01-01
Partner
NA
true
Yukinori Nagahisa
2004-01-01
Partner
NA
true
John A. Nielsen
1987-01-01
Partner
NA
true
Sean Pairceir
2010-01-01
Partner
NA
true
Jean-Pierre Paquin
2015-01-01
Partner
NA
true
Christopher C. Remondi
2012-01-01
Partner
NA
true
A. Heaton Robertson III
1994-01-01
Partner
NA
true
William E. Rosensweig
2012-01-01
Partner
NA
true
Jeffrey A. Schoenfeld
1996-01-01
Partner
A
true
Kevin W. Stone
2009-01-01
Partner
NA
true
W. Carter Sullivan III
2000-01-01
Partner
NA
true
Andrew J.F. Tucker
1998-01-01
Partner
A
true
Lawrence C. Tucker
1979-01-01
Partner
NA
true
William B. Tyree
2001-01-01
Partner
A
true
Maroa C. Velez
2008-01-01
Partner
NA
true
William J. Whelan, Jr.
2000-01-01
Partner
NA
true
Richard H. Witmer, Jr.
1998-01-01
Partner
A
true
false
false
false
false
false
false
false
true
The applicant
Decision & Order of Offer of Settlement
2014-09-10
U.S. Securities and Exchange Commission
In September 2014, the SEC alleged that Brown Brothers Harriman & Co. failed to make certain Section 13 and Section 16 filings of its proprietary and affiliated equity holdings under the Securities Exchange Act of 1934 on a timely basis.
Without admitting or denying the findings, the firm entered into a settlement agreement with the SEC and paid a civil penalty of $120,000.
false
false
false
false
false
false
false
false
false
true
The applicant
NYSE Hearing Board Decision 06-200
2006-11-13
New York Stock Exchange LLC, New York, NY
The enforcement staff's allegations included failure to establish and maintain adequate policies and procedures relating to the identification of, and association with, individuals subject to statutory disqualification, and the prompt reporting to the NYSE of the existence of certain events required to be reported by NYSE rules.
Without admitting or denying guilt, BBH consented to a censure and fine in connection with the allegations. In addition, BBH implemented enhanced policies and procedures with respect to its hiring process and employee reporting requirements.
The applicant
FINRA Letter of Acceptance, Waiver and Consent No. 2013035821401
2014-02-04
Financial Industry Regulatory Authority (FINRA). New York, NY
FINRA alleged that the firm failed to establish and implement an adequate AML program as required by NASD Rule 3011(a) and FINRA Rules 3310(a) and 2010; to adequately supervise activity in foreign financial institution accounts as required by NASD Rule 3011(b) and FINRA Rules 3310(b) and 2010; to conduct adequate AML testing as required by NASD Rule 3011(c) and FINRA Rules 3310(c) and 2010; to conduct adequate AML training as required by NASD Rule 3011(e) and FINRA Rules 3310(e) and 2010; and, to establish, maintain and enforce a supervisory system to achieve compliance with Section 5 of the Securities Act of 1933, as required by NASD Rule 3010 and FINRA Rule 2010.
The Firm resolved the matter without admitting or denying the findings or liability and paid a fine of $8Million. The Firm filed a Corrective Action Statement with the AWC, noting the various steps BBH had taken, or was taking, to address FINRA's charges.
false
false
false
false
false
false
Ursula Costigan
Vice President
617.772.6161
2015-10-02