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	<title>Form D Archives -</title>
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		<title>The JOBS Act’s Amendments to Form D</title>
		<link>https://www.gopublic101.com/form-d/</link>
		
		<dc:creator><![CDATA[Brenda Hamilton, Attorney]]></dc:creator>
		<pubDate>Fri, 28 Mar 2014 04:00:51 +0000</pubDate>
				<category><![CDATA[Blog Posts]]></category>
		<category><![CDATA[Brenda Hamilton]]></category>
		<category><![CDATA[Form D]]></category>
		<category><![CDATA[Form S-1]]></category>
		<category><![CDATA[Go Public]]></category>
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		<category><![CDATA[Jobs Act]]></category>
		<category><![CDATA[Notice of Sales]]></category>
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		<category><![CDATA[Regulation A]]></category>
		<category><![CDATA[Rule 506]]></category>
		<category><![CDATA[Securities Attorney]]></category>
		<category><![CDATA[Securities Law Blog]]></category>
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		<guid isPermaLink="false">http://www.gopublic101.com/?p=3499</guid>

					<description><![CDATA[Go Public 101 Blog On July 10, 2013, the SEC adopted final rules as required by Title II of the JOBS Act, which directed the SEC to eliminate the ban on general solicitation and advertising for certain offerings conducted under Rule 506 of Regulation D, of the Securities Act of 1933, as amended (the “Securities Act”) provided the securities are [&#8230;]]]></description>
		
		
		
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		<title>SEC Publishes Rule 506 Compliance and Disclosure Interpretation</title>
		<link>https://www.gopublic101.com/rule-506-interpretations/</link>
		
		<dc:creator><![CDATA[Brenda Hamilton, Attorney]]></dc:creator>
		<pubDate>Wed, 20 Nov 2013 19:45:44 +0000</pubDate>
				<category><![CDATA[Blog Posts]]></category>
		<category><![CDATA[Accredited Investor]]></category>
		<category><![CDATA[Compliance and Disclosure]]></category>
		<category><![CDATA[Crowfund]]></category>
		<category><![CDATA[Form D]]></category>
		<category><![CDATA[Form S-1]]></category>
		<category><![CDATA[Go Public]]></category>
		<category><![CDATA[Going Public]]></category>
		<category><![CDATA[Going Public Attorney]]></category>
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		<category><![CDATA[Private Placement]]></category>
		<category><![CDATA[Registration Statement]]></category>
		<category><![CDATA[Rule 506]]></category>
		<category><![CDATA[Rule 506 (c)]]></category>
		<category><![CDATA[Securities Attorney]]></category>
		<category><![CDATA[Securities Law Blog]]></category>
		<category><![CDATA[Securities Lawyer]]></category>
		<guid isPermaLink="false">http://www.gopublic101.com/?p=2632</guid>

					<description><![CDATA[Go Public 101 Blog On November 13, 2013, the Securities and Exchange Commission (the “SEC”) Division of Corporation Finance issued several useful Compliance and the Disclosure Interpretations related to Rule 506 (c) . The Rule 506 (c) Compliance and Disclosure Interpretations are summarized below. If, prior to the effective date of Rule 506(c), an issuer [&#8230;]]]></description>
		
		
		
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