Certain items in Part I of Form MA require additional information on Schedule D. Use this Schedule D to report details for items listed below. Report only new information or changes/updates to previously submitted information. Do not repeat previously submitted information.
This is an: INITIAL or AMENDED Schedule D or ANNUAL UPDATE
SECTION 1-B Other Names under which Municipal Advisor-Related Business is Conducted
List the applicant's other business names and the jurisdictions in which they are used. A separate Schedule D must be completed for each business name, and the jurisdictions where that name is used.
SECTION 1-D Additional Registrations of the Applicant
Indicate any additional registrations with federal or state regulators, and the relevant registration number. A separate Schedule D must be completed for each such registration.
SECTION 1-E Additional Offices at which the Applicant's Municipal Advisor-Related Business is Conducted
Provide the location of the largest five additional offices (in terms of numbers of employees) at which the applicant's municipal advisor-related business is conducted other than applicant's principal office and place of business. A separate Schedule D must be completed for each such office.
Select only one: AddDelete Amend
Street Address 1:
Street Address 2:
Is this address a private residence?
A private residential address will not be included in publicly available versions of this registration form.
Telephone number at this location:
Fax number (if any) a this location:
Select only one: AddDelete Amend
Street Address 1:
Street Address 2:
City:
State/Country:
NORTH CAROLINA �
Is this address a private residence?
A private residential address will not be included in publicly available versions of this registration form.
Telephone number at this location:
Fax number (if any) a this location:
SECTION 1-F Additional Website Addresses
List any additional website addresses of the applicant. A separate Schedule D must be completed for each such website address.
SECTION 1-I Location of Books and Records
Complete the following information for each location at which the applicant keeps books and records, other than its principal office and place of business. A separate Schedule D must be completed for each location.
Select only one: AddDelete Amend
Name of entity where books and records are kept:
TIAA
Street Address 1:
Street Address 2:
City:
State/Country:
NORTH CAROLINA �
Is this address a private residence?
Telephone number at this location:
Fax number (if any) at this location:
For non-US telephone and fax numbers, include country code with area code and local number.
This is (Select only one):
one of applicant's branch offices or affiliates.
a third-party unaffiliated record keeper.
Other
Briefly describe the books and records kept at the location(s) you checked. If you checked "other," describe additionally all such location(s).
Correspondence or other documents related to the operation of qualified tuition programs.�
Select only one: AddDelete Amend
Name of entity where books and records are kept:
BANK OF NEW YORK MELLON CORP
Street Address 1:
Street Address 2:
City:
State/Country:
NEW YORK �
Is this address a private residence?
Telephone number at this location:
Fax number (if any) at this location:
For non-US telephone and fax numbers, include country code with area code and local number.
This is (Select only one):
one of applicant's branch offices or affiliates.
a third-party unaffiliated record keeper.
Other
Briefly describe the books and records kept at the location(s) you checked. If you checked "other," describe additionally all such location(s).
Cash trial balances, documenting purchases and sales, recording of income, making cash disbursements and reporting of cash transactions for the various investment options for each qualified tuition program.�
Select only one: AddDelete Amend
Name of entity where books and records are kept:
NORTHERN TRUST CORP
Street Address 1:
Street Address 2:
City:
State/Country:
ILLINOIS �
Is this address a private residence?
Telephone number at this location:
Fax number (if any) at this location:
For non-US telephone and fax numbers, include country code with area code and local number.
This is (Select only one):
one of applicant's branch offices or affiliates.
a third-party unaffiliated record keeper.
Other
Briefly describe the books and records kept at the location(s) you checked. If you checked "other," describe additionally all such location(s).
CASH TRIAL BALANCES, DOCUMENTING PURCHASES AND SALES, RECORDING OF INCOME, MAKING CASH DISBURSEMENTS AND REPORTING OF CASHTRANSACTIONS FOR THE VARIOUS INVESTMENT OPTIONS FOR EACH QUALIFIED TUITION PROGRAM.�
SECTION 1-J Registration with Foreign Financial Regulatory Authorities
List the full name, in English, of each foreign financial regulatory authority, provide the foreign registration number (if any), and list the full name, in English, of the country with which the applicant is registered. A separate Schedule D must be completed for each foreign financial regulatory authority with whom the applicant is registered.
SECTION 1-K Business Affiliates of the Applicant
Provide the name of any domestic or foreign business affiliate of the applicant and any federal, state, or foreign registration of such affiliate and the registration number. A separate Schedule D must be completed for each such affiliate.
Name of Affiliate:
Teachers Insurance and Annuity Association of America
1. Does the affiliate have an applicable federal, state, or foreign registration?
Yes No
2. Provide the following details:
(a) Name of Agency Issuing Registration (in English):
New York Department of Financial Services
(b) Registration No., if any:
NAIC# 69345
(c) Provide the jurisdiction (check the appropriate box and if a US state or other jurisdiction, or a foreign country, provide the name of the jurisdiction):
US Federal
US State or Other US Jurisdiction:
(specify):
NEW YORK �
Foreign Country Name (in English):
(specify):
�
SECTION 3 Successions
Complete the following information if succeeding to the business of a currently-registered municipal advisor. If the applicant succeeded more than one municipal advisory firm in the succession being reported on this Form MA, a separate Schedule D must be completed for each predecessor firm. See Instruction 1 of the Specific Instructions for Certain Items in Form MA included in the General Instructions.
SECTION 4-D Firms and Other Persons that Solicit Municipal Advisor Clients on the Applicant's Behalf
Provide the name, address, and phone number of any firm or other person that is not otherwise an associated person of the applicant that solicits municipal advisor clients on the applicant's behalf. A separate Schedule D must be completed for each such firm or natural person.
SECTION 4-E Employees That Also Do Business Independently on the Applicant's Behalf as Affiliates of the Applicant
SECTION 5-B Description of Primary Business (for businesses not listed in Part A of Item 5)
If you checked Item 5-B.2 describe the applicant's primary business (not the applicant's municipal advisor-related business):
TIAA-CREF Tuition Financing. Inc. provides or subcontracts to others to provide services to qualified tuition programs on behalf of state sponsors: recordkeeping and processing of account owner transaction requests, unit value calculations, federal tax reporting, and certain administrative services.�
SECTION 6 Financial Industry and Other Activities of Associated Persons
The following information must be completed for each associated person in every category you checked in Item 6-A. A separate Schedule D must be completed for each such associated person.
Select only one: AddDelete Amend
Legal Name of Associated Person:
TIAA-CREF Investment Management LLC
Primary Business Name of Associated Person:
TIAA-CREF Investment Management LLC
A. Associated person is a: Check all that apply.
(1) Broker-dealer, municipal securities dealer, or government securities broker or dealer
(2) Investment company (including mutual funds)
(3) Investment adviser (including financial planners)
(4) Swap dealer
(5) Security-based swap dealer
(6) Major swap participant
(7) Major security-based swap participant
(8) Commodity pool operator (whether registered or exempt from registration)
(9) Commodity trading advisor (whether registered or exempt from registration)
(10) Futures commission merchant
(11) Banking or thrift institution
(12) Trust company
(13) Accountant or accounting firm
(14) Attorney or law firm
(15) Insurance company or agency
(16) Pension consultant
(17) Real estate broker or dealer
(18) Sponsor or syndicator of limited partnerships
(19) Engineer or engineering firm
(20) Other municipal advisor
B. Control Relationships and Foreign Relations
(1) Control Relationships
(a) Does the applicant control or is it controlled by the associated person? Yes No
(b) Are the applicant and the associated person under common control? Yes No
(2) Foreign Financial Regulatory Authority Registration
(a) Is the associated person registered with a foreign financial regulatory authority? Yes No
(b) List the name, in English: the name of each foreign financial regulatory authority, the associated person's registration number with that authority (if any), and the country in which the authority has jurisdiction.
Select only one: AddDelete Amend
Legal Name of Associated Person:
Teachers Advisors, LLC
Primary Business Name of Associated Person:
Teachers Advisors, LLC
A. Associated person is a: Check all that apply.
(1) Broker-dealer, municipal securities dealer, or government securities broker or dealer
(2) Investment company (including mutual funds)
(3) Investment adviser (including financial planners)
(4) Swap dealer
(5) Security-based swap dealer
(6) Major swap participant
(7) Major security-based swap participant
(8) Commodity pool operator (whether registered or exempt from registration)
(9) Commodity trading advisor (whether registered or exempt from registration)
(10) Futures commission merchant
(11) Banking or thrift institution
(12) Trust company
(13) Accountant or accounting firm
(14) Attorney or law firm
(15) Insurance company or agency
(16) Pension consultant
(17) Real estate broker or dealer
(18) Sponsor or syndicator of limited partnerships
(19) Engineer or engineering firm
(20) Other municipal advisor
B. Control Relationships and Foreign Relations
(1) Control Relationships
(a) Does the applicant control or is it controlled by the associated person? Yes No
(b) Are the applicant and the associated person under common control? Yes No
(2) Foreign Financial Regulatory Authority Registration
(a) Is the associated person registered with a foreign financial regulatory authority? Yes No
(b) List the name, in English: the name of each foreign financial regulatory authority, the associated person's registration number with that authority (if any), and the country in which the authority has jurisdiction.
Select only one: AddDelete Amend
Legal Name of Associated Person:
TIAA-CREF Individual & Institutional Services, LLC
Primary Business Name of Associated Person:
Advice and Planning Services
A. Associated person is a: Check all that apply.
(1) Broker-dealer, municipal securities dealer, or government securities broker or dealer
(2) Investment company (including mutual funds)
(3) Investment adviser (including financial planners)
(4) Swap dealer
(5) Security-based swap dealer
(6) Major swap participant
(7) Major security-based swap participant
(8) Commodity pool operator (whether registered or exempt from registration)
(9) Commodity trading advisor (whether registered or exempt from registration)
(10) Futures commission merchant
(11) Banking or thrift institution
(12) Trust company
(13) Accountant or accounting firm
(14) Attorney or law firm
(15) Insurance company or agency
(16) Pension consultant
(17) Real estate broker or dealer
(18) Sponsor or syndicator of limited partnerships
(19) Engineer or engineering firm
(20) Other municipal advisor
B. Control Relationships and Foreign Relations
(1) Control Relationships
(a) Does the applicant control or is it controlled by the associated person? Yes No
(b) Are the applicant and the associated person under common control? Yes No
(2) Foreign Financial Regulatory Authority Registration
(a) Is the associated person registered with a foreign financial regulatory authority? Yes No
(b) List the name, in English: the name of each foreign financial regulatory authority, the associated person's registration number with that authority (if any), and the country in which the authority has jurisdiction.
Select only one: AddDelete Amend
Legal Name of Associated Person:
Nuveen Alternatives Advisors, LLC
Primary Business Name of Associated Person:
Nuveen Alternatives Advisors, LLC
A. Associated person is a: Check all that apply.
(1) Broker-dealer, municipal securities dealer, or government securities broker or dealer
(2) Investment company (including mutual funds)
(3) Investment adviser (including financial planners)
(4) Swap dealer
(5) Security-based swap dealer
(6) Major swap participant
(7) Major security-based swap participant
(8) Commodity pool operator (whether registered or exempt from registration)
(9) Commodity trading advisor (whether registered or exempt from registration)
(10) Futures commission merchant
(11) Banking or thrift institution
(12) Trust company
(13) Accountant or accounting firm
(14) Attorney or law firm
(15) Insurance company or agency
(16) Pension consultant
(17) Real estate broker or dealer
(18) Sponsor or syndicator of limited partnerships
(19) Engineer or engineering firm
(20) Other municipal advisor
B. Control Relationships and Foreign Relations
(1) Control Relationships
(a) Does the applicant control or is it controlled by the associated person? Yes No
(b) Are the applicant and the associated person under common control? Yes No
(2) Foreign Financial Regulatory Authority Registration
(a) Is the associated person registered with a foreign financial regulatory authority? Yes No
(b) List the name, in English: the name of each foreign financial regulatory authority, the associated person's registration number with that authority (if any), and the country in which the authority has jurisdiction.
Select only one: AddDelete Amend
Legal Name of Associated Person:
Teachers Insurance and Annuity Association of America
Primary Business Name of Associated Person:
Teachers Insurance and Annuity Association of America
A. Associated person is a: Check all that apply.
(1) Broker-dealer, municipal securities dealer, or government securities broker or dealer
(2) Investment company (including mutual funds)
(3) Investment adviser (including financial planners)
(4) Swap dealer
(5) Security-based swap dealer
(6) Major swap participant
(7) Major security-based swap participant
(8) Commodity pool operator (whether registered or exempt from registration)
(9) Commodity trading advisor (whether registered or exempt from registration)
(10) Futures commission merchant
(11) Banking or thrift institution
(12) Trust company
(13) Accountant or accounting firm
(14) Attorney or law firm
(15) Insurance company or agency
(16) Pension consultant
(17) Real estate broker or dealer
(18) Sponsor or syndicator of limited partnerships
(19) Engineer or engineering firm
(20) Other municipal advisor
B. Control Relationships and Foreign Relations
(1) Control Relationships
(a) Does the applicant control or is it controlled by the associated person? Yes No
(b) Are the applicant and the associated person under common control? Yes No
(2) Foreign Financial Regulatory Authority Registration
(a) Is the associated person registered with a foreign financial regulatory authority? Yes No
(b) List the name, in English: the name of each foreign financial regulatory authority, the associated person's registration number with that authority (if any), and the country in which the authority has jurisdiction.
Select only one: AddDelete Amend
Legal Name of Associated Person:
TIAA-CREF Insurance Agency, LLC
Primary Business Name of Associated Person:
TIAA-CREF Insurance Agency, LLC
A. Associated person is a: Check all that apply.
(1) Broker-dealer, municipal securities dealer, or government securities broker or dealer
(2) Investment company (including mutual funds)
(3) Investment adviser (including financial planners)
(4) Swap dealer
(5) Security-based swap dealer
(6) Major swap participant
(7) Major security-based swap participant
(8) Commodity pool operator (whether registered or exempt from registration)
(9) Commodity trading advisor (whether registered or exempt from registration)
(10) Futures commission merchant
(11) Banking or thrift institution
(12) Trust company
(13) Accountant or accounting firm
(14) Attorney or law firm
(15) Insurance company or agency
(16) Pension consultant
(17) Real estate broker or dealer
(18) Sponsor or syndicator of limited partnerships
(19) Engineer or engineering firm
(20) Other municipal advisor
B. Control Relationships and Foreign Relations
(1) Control Relationships
(a) Does the applicant control or is it controlled by the associated person? Yes No
(b) Are the applicant and the associated person under common control? Yes No
(2) Foreign Financial Regulatory Authority Registration
(a) Is the associated person registered with a foreign financial regulatory authority? Yes No
(b) List the name, in English: the name of each foreign financial regulatory authority, the associated person's registration number with that authority (if any), and the country in which the authority has jurisdiction.
Select only one: AddDelete Amend
Legal Name of Associated Person:
Nuveen Management AIFM Limited
Primary Business Name of Associated Person:
Nuveen Management AIFM Limited
A. Associated person is a: Check all that apply.
(1) Broker-dealer, municipal securities dealer, or government securities broker or dealer
(2) Investment company (including mutual funds)
(3) Investment adviser (including financial planners)
(4) Swap dealer
(5) Security-based swap dealer
(6) Major swap participant
(7) Major security-based swap participant
(8) Commodity pool operator (whether registered or exempt from registration)
(9) Commodity trading advisor (whether registered or exempt from registration)
(10) Futures commission merchant
(11) Banking or thrift institution
(12) Trust company
(13) Accountant or accounting firm
(14) Attorney or law firm
(15) Insurance company or agency
(16) Pension consultant
(17) Real estate broker or dealer
(18) Sponsor or syndicator of limited partnerships
(19) Engineer or engineering firm
(20) Other municipal advisor
B. Control Relationships and Foreign Relations
(1) Control Relationships
(a) Does the applicant control or is it controlled by the associated person? Yes No
(b) Are the applicant and the associated person under common control? Yes No
(2) Foreign Financial Regulatory Authority Registration
(a) Is the associated person registered with a foreign financial regulatory authority? Yes No
(b) List the name, in English: the name of each foreign financial regulatory authority, the associated person's registration number with that authority (if any), and the country in which the authority has jurisdiction.
English Name of
Foreign Financial Regulatory Authority:
UNITED KINGDOM - FINANCIAL CONDUCT AUTHORITY
Registration Number (if any): (Need to capture the right value from schema)
English Name of Country:
UNITED KINGDOM �
Select only one: AddDelete Amend
Legal Name of Associated Person:
Churchill Asset Management LLC
Primary Business Name of Associated Person:
Churchill Asset Management LLC
A. Associated person is a: Check all that apply.
(1) Broker-dealer, municipal securities dealer, or government securities broker or dealer
(2) Investment company (including mutual funds)
(3) Investment adviser (including financial planners)
(4) Swap dealer
(5) Security-based swap dealer
(6) Major swap participant
(7) Major security-based swap participant
(8) Commodity pool operator (whether registered or exempt from registration)
(9) Commodity trading advisor (whether registered or exempt from registration)
(10) Futures commission merchant
(11) Banking or thrift institution
(12) Trust company
(13) Accountant or accounting firm
(14) Attorney or law firm
(15) Insurance company or agency
(16) Pension consultant
(17) Real estate broker or dealer
(18) Sponsor or syndicator of limited partnerships
(19) Engineer or engineering firm
(20) Other municipal advisor
B. Control Relationships and Foreign Relations
(1) Control Relationships
(a) Does the applicant control or is it controlled by the associated person? Yes No
(b) Are the applicant and the associated person under common control? Yes No
(2) Foreign Financial Regulatory Authority Registration
(a) Is the associated person registered with a foreign financial regulatory authority? Yes No
(b) List the name, in English: the name of each foreign financial regulatory authority, the associated person's registration number with that authority (if any), and the country in which the authority has jurisdiction.
Select only one: AddDelete Amend
Legal Name of Associated Person:
Nuveen Asset Management, LLC
Primary Business Name of Associated Person:
Nuveen Asset Management, LLC
A. Associated person is a: Check all that apply.
(1) Broker-dealer, municipal securities dealer, or government securities broker or dealer
(2) Investment company (including mutual funds)
(3) Investment adviser (including financial planners)
(4) Swap dealer
(5) Security-based swap dealer
(6) Major swap participant
(7) Major security-based swap participant
(8) Commodity pool operator (whether registered or exempt from registration)
(9) Commodity trading advisor (whether registered or exempt from registration)
(10) Futures commission merchant
(11) Banking or thrift institution
(12) Trust company
(13) Accountant or accounting firm
(14) Attorney or law firm
(15) Insurance company or agency
(16) Pension consultant
(17) Real estate broker or dealer
(18) Sponsor or syndicator of limited partnerships
(19) Engineer or engineering firm
(20) Other municipal advisor
B. Control Relationships and Foreign Relations
(1) Control Relationships
(a) Does the applicant control or is it controlled by the associated person? Yes No
(b) Are the applicant and the associated person under common control? Yes No
(2) Foreign Financial Regulatory Authority Registration
(a) Is the associated person registered with a foreign financial regulatory authority? Yes No
(b) List the name, in English: the name of each foreign financial regulatory authority, the associated person's registration number with that authority (if any), and the country in which the authority has jurisdiction.
Select only one: AddDelete Amend
Legal Name of Associated Person:
Nuveen Fund Advisors, LLC
Primary Business Name of Associated Person:
Nuveen Fund Advisors, LLC
A. Associated person is a: Check all that apply.
(1) Broker-dealer, municipal securities dealer, or government securities broker or dealer
(2) Investment company (including mutual funds)
(3) Investment adviser (including financial planners)
(4) Swap dealer
(5) Security-based swap dealer
(6) Major swap participant
(7) Major security-based swap participant
(8) Commodity pool operator (whether registered or exempt from registration)
(9) Commodity trading advisor (whether registered or exempt from registration)
(10) Futures commission merchant
(11) Banking or thrift institution
(12) Trust company
(13) Accountant or accounting firm
(14) Attorney or law firm
(15) Insurance company or agency
(16) Pension consultant
(17) Real estate broker or dealer
(18) Sponsor or syndicator of limited partnerships
(19) Engineer or engineering firm
(20) Other municipal advisor
B. Control Relationships and Foreign Relations
(1) Control Relationships
(a) Does the applicant control or is it controlled by the associated person? Yes No
(b) Are the applicant and the associated person under common control? Yes No
(2) Foreign Financial Regulatory Authority Registration
(a) Is the associated person registered with a foreign financial regulatory authority? Yes No
(b) List the name, in English: the name of each foreign financial regulatory authority, the associated person's registration number with that authority (if any), and the country in which the authority has jurisdiction.
Select only one: AddDelete Amend
Legal Name of Associated Person:
Nuveen Securities, LLC
Primary Business Name of Associated Person:
Nuveen Securities, LLC
A. Associated person is a: Check all that apply.
(1) Broker-dealer, municipal securities dealer, or government securities broker or dealer
(2) Investment company (including mutual funds)
(3) Investment adviser (including financial planners)
(4) Swap dealer
(5) Security-based swap dealer
(6) Major swap participant
(7) Major security-based swap participant
(8) Commodity pool operator (whether registered or exempt from registration)
(9) Commodity trading advisor (whether registered or exempt from registration)
(10) Futures commission merchant
(11) Banking or thrift institution
(12) Trust company
(13) Accountant or accounting firm
(14) Attorney or law firm
(15) Insurance company or agency
(16) Pension consultant
(17) Real estate broker or dealer
(18) Sponsor or syndicator of limited partnerships
(19) Engineer or engineering firm
(20) Other municipal advisor
B. Control Relationships and Foreign Relations
(1) Control Relationships
(a) Does the applicant control or is it controlled by the associated person? Yes No
(b) Are the applicant and the associated person under common control? Yes No
(2) Foreign Financial Regulatory Authority Registration
(a) Is the associated person registered with a foreign financial regulatory authority? Yes No
(b) List the name, in English: the name of each foreign financial regulatory authority, the associated person's registration number with that authority (if any), and the country in which the authority has jurisdiction.
Select only one: AddDelete Amend
Legal Name of Associated Person:
TIAA KASPICK, LLC
Primary Business Name of Associated Person:
TIAA KASPICK, LLC
A. Associated person is a: Check all that apply.
(1) Broker-dealer, municipal securities dealer, or government securities broker or dealer
(2) Investment company (including mutual funds)
(3) Investment adviser (including financial planners)
(4) Swap dealer
(5) Security-based swap dealer
(6) Major swap participant
(7) Major security-based swap participant
(8) Commodity pool operator (whether registered or exempt from registration)
(9) Commodity trading advisor (whether registered or exempt from registration)
(10) Futures commission merchant
(11) Banking or thrift institution
(12) Trust company
(13) Accountant or accounting firm
(14) Attorney or law firm
(15) Insurance company or agency
(16) Pension consultant
(17) Real estate broker or dealer
(18) Sponsor or syndicator of limited partnerships
(19) Engineer or engineering firm
(20) Other municipal advisor
B. Control Relationships and Foreign Relations
(1) Control Relationships
(a) Does the applicant control or is it controlled by the associated person? Yes No
(b) Are the applicant and the associated person under common control? Yes No
(2) Foreign Financial Regulatory Authority Registration
(a) Is the associated person registered with a foreign financial regulatory authority? Yes No
(b) List the name, in English: the name of each foreign financial regulatory authority, the associated person's registration number with that authority (if any), and the country in which the authority has jurisdiction.
Select only one: AddDelete Amend
Legal Name of Associated Person:
TIAA Trust, N.A.
Primary Business Name of Associated Person:
TIAA Trust
A. Associated person is a: Check all that apply.
(1) Broker-dealer, municipal securities dealer, or government securities broker or dealer
(2) Investment company (including mutual funds)
(3) Investment adviser (including financial planners)
(4) Swap dealer
(5) Security-based swap dealer
(6) Major swap participant
(7) Major security-based swap participant
(8) Commodity pool operator (whether registered or exempt from registration)
(9) Commodity trading advisor (whether registered or exempt from registration)
(10) Futures commission merchant
(11) Banking or thrift institution
(12) Trust company
(13) Accountant or accounting firm
(14) Attorney or law firm
(15) Insurance company or agency
(16) Pension consultant
(17) Real estate broker or dealer
(18) Sponsor or syndicator of limited partnerships
(19) Engineer or engineering firm
(20) Other municipal advisor
B. Control Relationships and Foreign Relations
(1) Control Relationships
(a) Does the applicant control or is it controlled by the associated person? Yes No
(b) Are the applicant and the associated person under common control? Yes No
(2) Foreign Financial Regulatory Authority Registration
(a) Is the associated person registered with a foreign financial regulatory authority? Yes No
(b) List the name, in English: the name of each foreign financial regulatory authority, the associated person's registration number with that authority (if any), and the country in which the authority has jurisdiction.
Select only one: AddDelete Amend
Legal Name of Associated Person:
TIAA Wealth Investment Management LLC
Primary Business Name of Associated Person:
TIAA Wealth Investment Management LLC
A. Associated person is a: Check all that apply.
(1) Broker-dealer, municipal securities dealer, or government securities broker or dealer
(2) Investment company (including mutual funds)
(3) Investment adviser (including financial planners)
(4) Swap dealer
(5) Security-based swap dealer
(6) Major swap participant
(7) Major security-based swap participant
(8) Commodity pool operator (whether registered or exempt from registration)
(9) Commodity trading advisor (whether registered or exempt from registration)
(10) Futures commission merchant
(11) Banking or thrift institution
(12) Trust company
(13) Accountant or accounting firm
(14) Attorney or law firm
(15) Insurance company or agency
(16) Pension consultant
(17) Real estate broker or dealer
(18) Sponsor or syndicator of limited partnerships
(19) Engineer or engineering firm
(20) Other municipal advisor
B. Control Relationships and Foreign Relations
(1) Control Relationships
(a) Does the applicant control or is it controlled by the associated person? Yes No
(b) Are the applicant and the associated person under common control? Yes No
(2) Foreign Financial Regulatory Authority Registration
(a) Is the associated person registered with a foreign financial regulatory authority? Yes No
(b) List the name, in English: the name of each foreign financial regulatory authority, the associated person's registration number with that authority (if any), and the country in which the authority has jurisdiction.
Select only one: AddDelete Amend
Legal Name of Associated Person:
Seven30 Re (Bermuda) Co. Limited
Primary Business Name of Associated Person:
Seven30 Re (Bermuda) Co. Limited
A. Associated person is a: Check all that apply.
(1) Broker-dealer, municipal securities dealer, or government securities broker or dealer
(2) Investment company (including mutual funds)
(3) Investment adviser (including financial planners)
(4) Swap dealer
(5) Security-based swap dealer
(6) Major swap participant
(7) Major security-based swap participant
(8) Commodity pool operator (whether registered or exempt from registration)
(9) Commodity trading advisor (whether registered or exempt from registration)
(10) Futures commission merchant
(11) Banking or thrift institution
(12) Trust company
(13) Accountant or accounting firm
(14) Attorney or law firm
(15) Insurance company or agency
(16) Pension consultant
(17) Real estate broker or dealer
(18) Sponsor or syndicator of limited partnerships
(19) Engineer or engineering firm
(20) Other municipal advisor
B. Control Relationships and Foreign Relations
(1) Control Relationships
(a) Does the applicant control or is it controlled by the associated person? Yes No
(b) Are the applicant and the associated person under common control? Yes No
(2) Foreign Financial Regulatory Authority Registration
(a) Is the associated person registered with a foreign financial regulatory authority? Yes No
(b) List the name, in English: the name of each foreign financial regulatory authority, the associated person's registration number with that authority (if any), and the country in which the authority has jurisdiction.
English Name of
Foreign Financial Regulatory Authority:
Bermuda Monetary Authority
Registration Number (if any): (Need to capture the right value from schema)
English Name of Country:
BERMUDA �
Select only one: AddDelete Amend
Legal Name of Associated Person:
Seven30 Insurance (Bermuda) Co. Limited
Primary Business Name of Associated Person:
Seven30 Insurance (Bermuda) Co. Limited
A. Associated person is a: Check all that apply.
(1) Broker-dealer, municipal securities dealer, or government securities broker or dealer
(2) Investment company (including mutual funds)
(3) Investment adviser (including financial planners)
(4) Swap dealer
(5) Security-based swap dealer
(6) Major swap participant
(7) Major security-based swap participant
(8) Commodity pool operator (whether registered or exempt from registration)
(9) Commodity trading advisor (whether registered or exempt from registration)
(10) Futures commission merchant
(11) Banking or thrift institution
(12) Trust company
(13) Accountant or accounting firm
(14) Attorney or law firm
(15) Insurance company or agency
(16) Pension consultant
(17) Real estate broker or dealer
(18) Sponsor or syndicator of limited partnerships
(19) Engineer or engineering firm
(20) Other municipal advisor
B. Control Relationships and Foreign Relations
(1) Control Relationships
(a) Does the applicant control or is it controlled by the associated person? Yes No
(b) Are the applicant and the associated person under common control? Yes No
(2) Foreign Financial Regulatory Authority Registration
(a) Is the associated person registered with a foreign financial regulatory authority? Yes No
(b) List the name, in English: the name of each foreign financial regulatory authority, the associated person's registration number with that authority (if any), and the country in which the authority has jurisdiction.
English Name of
Foreign Financial Regulatory Authority:
Bermuda Monetary Authority
Registration Number (if any): (Need to capture the right value from schema)
English Name of Country:
BERMUDA �
Select only one: AddDelete Amend
Legal Name of Associated Person:
Brooklyn Investment Group, LLC
Primary Business Name of Associated Person:
Brooklyn Investment Group, LLC
A. Associated person is a: Check all that apply.
(1) Broker-dealer, municipal securities dealer, or government securities broker or dealer
(2) Investment company (including mutual funds)
(3) Investment adviser (including financial planners)
(4) Swap dealer
(5) Security-based swap dealer
(6) Major swap participant
(7) Major security-based swap participant
(8) Commodity pool operator (whether registered or exempt from registration)
(9) Commodity trading advisor (whether registered or exempt from registration)
(10) Futures commission merchant
(11) Banking or thrift institution
(12) Trust company
(13) Accountant or accounting firm
(14) Attorney or law firm
(15) Insurance company or agency
(16) Pension consultant
(17) Real estate broker or dealer
(18) Sponsor or syndicator of limited partnerships
(19) Engineer or engineering firm
(20) Other municipal advisor
B. Control Relationships and Foreign Relations
(1) Control Relationships
(a) Does the applicant control or is it controlled by the associated person? Yes No
(b) Are the applicant and the associated person under common control? Yes No
(2) Foreign Financial Regulatory Authority Registration
(a) Is the associated person registered with a foreign financial regulatory authority? Yes No
(b) List the name, in English: the name of each foreign financial regulatory authority, the associated person's registration number with that authority (if any), and the country in which the authority has jurisdiction.
Select only one: AddDelete Amend
Legal Name of Associated Person:
Churchill DLC Advisor LLC
Primary Business Name of Associated Person:
Churchill DLC Advisor LLC
A. Associated person is a: Check all that apply.
(1) Broker-dealer, municipal securities dealer, or government securities broker or dealer
(2) Investment company (including mutual funds)
(3) Investment adviser (including financial planners)
(4) Swap dealer
(5) Security-based swap dealer
(6) Major swap participant
(7) Major security-based swap participant
(8) Commodity pool operator (whether registered or exempt from registration)
(9) Commodity trading advisor (whether registered or exempt from registration)
(10) Futures commission merchant
(11) Banking or thrift institution
(12) Trust company
(13) Accountant or accounting firm
(14) Attorney or law firm
(15) Insurance company or agency
(16) Pension consultant
(17) Real estate broker or dealer
(18) Sponsor or syndicator of limited partnerships
(19) Engineer or engineering firm
(20) Other municipal advisor
B. Control Relationships and Foreign Relations
(1) Control Relationships
(a) Does the applicant control or is it controlled by the associated person? Yes No
(b) Are the applicant and the associated person under common control? Yes No
(2) Foreign Financial Regulatory Authority Registration
(a) Is the associated person registered with a foreign financial regulatory authority? Yes No
(b) List the name, in English: the name of each foreign financial regulatory authority, the associated person's registration number with that authority (if any), and the country in which the authority has jurisdiction.
Select only one: AddDelete Amend
Legal Name of Associated Person:
Churchill NCPE Advisor LLC
Primary Business Name of Associated Person:
Churchill NCPE Advisor LLC
A. Associated person is a: Check all that apply.
(1) Broker-dealer, municipal securities dealer, or government securities broker or dealer
(2) Investment company (including mutual funds)
(3) Investment adviser (including financial planners)
(4) Swap dealer
(5) Security-based swap dealer
(6) Major swap participant
(7) Major security-based swap participant
(8) Commodity pool operator (whether registered or exempt from registration)
(9) Commodity trading advisor (whether registered or exempt from registration)
(10) Futures commission merchant
(11) Banking or thrift institution
(12) Trust company
(13) Accountant or accounting firm
(14) Attorney or law firm
(15) Insurance company or agency
(16) Pension consultant
(17) Real estate broker or dealer
(18) Sponsor or syndicator of limited partnerships
(19) Engineer or engineering firm
(20) Other municipal advisor
B. Control Relationships and Foreign Relations
(1) Control Relationships
(a) Does the applicant control or is it controlled by the associated person? Yes No
(b) Are the applicant and the associated person under common control? Yes No
(2) Foreign Financial Regulatory Authority Registration
(a) Is the associated person registered with a foreign financial regulatory authority? Yes No
(b) List the name, in English: the name of each foreign financial regulatory authority, the associated person's registration number with that authority (if any), and the country in which the authority has jurisdiction.
Select only one: AddDelete Amend
Legal Name of Associated Person:
Churchill PCIF Advisor LLC
Primary Business Name of Associated Person:
Churchill PCIF Advisor LLC
A. Associated person is a: Check all that apply.
(1) Broker-dealer, municipal securities dealer, or government securities broker or dealer
(2) Investment company (including mutual funds)
(3) Investment adviser (including financial planners)
(4) Swap dealer
(5) Security-based swap dealer
(6) Major swap participant
(7) Major security-based swap participant
(8) Commodity pool operator (whether registered or exempt from registration)
(9) Commodity trading advisor (whether registered or exempt from registration)
(10) Futures commission merchant
(11) Banking or thrift institution
(12) Trust company
(13) Accountant or accounting firm
(14) Attorney or law firm
(15) Insurance company or agency
(16) Pension consultant
(17) Real estate broker or dealer
(18) Sponsor or syndicator of limited partnerships
(19) Engineer or engineering firm
(20) Other municipal advisor
B. Control Relationships and Foreign Relations
(1) Control Relationships
(a) Does the applicant control or is it controlled by the associated person? Yes No
(b) Are the applicant and the associated person under common control? Yes No
(2) Foreign Financial Regulatory Authority Registration
(a) Is the associated person registered with a foreign financial regulatory authority? Yes No
(b) List the name, in English: the name of each foreign financial regulatory authority, the associated person's registration number with that authority (if any), and the country in which the authority has jurisdiction.
Select only one: AddDelete Amend
Legal Name of Associated Person:
Gresham Investment Management LLC
Primary Business Name of Associated Person:
Gresham Investment Management LLC
A. Associated person is a: Check all that apply.
(1) Broker-dealer, municipal securities dealer, or government securities broker or dealer
(2) Investment company (including mutual funds)
(3) Investment adviser (including financial planners)
(4) Swap dealer
(5) Security-based swap dealer
(6) Major swap participant
(7) Major security-based swap participant
(8) Commodity pool operator (whether registered or exempt from registration)
(9) Commodity trading advisor (whether registered or exempt from registration)
(10) Futures commission merchant
(11) Banking or thrift institution
(12) Trust company
(13) Accountant or accounting firm
(14) Attorney or law firm
(15) Insurance company or agency
(16) Pension consultant
(17) Real estate broker or dealer
(18) Sponsor or syndicator of limited partnerships
(19) Engineer or engineering firm
(20) Other municipal advisor
B. Control Relationships and Foreign Relations
(1) Control Relationships
(a) Does the applicant control or is it controlled by the associated person? Yes No
(b) Are the applicant and the associated person under common control? Yes No
(2) Foreign Financial Regulatory Authority Registration
(a) Is the associated person registered with a foreign financial regulatory authority? Yes No
(b) List the name, in English: the name of each foreign financial regulatory authority, the associated person's registration number with that authority (if any), and the country in which the authority has jurisdiction.
Select only one: AddDelete Amend
Legal Name of Associated Person:
Winslow Capital Management, LLC
Primary Business Name of Associated Person:
Winslow Capital Management, LLC
A. Associated person is a: Check all that apply.
(1) Broker-dealer, municipal securities dealer, or government securities broker or dealer
(2) Investment company (including mutual funds)
(3) Investment adviser (including financial planners)
(4) Swap dealer
(5) Security-based swap dealer
(6) Major swap participant
(7) Major security-based swap participant
(8) Commodity pool operator (whether registered or exempt from registration)
(9) Commodity trading advisor (whether registered or exempt from registration)
(10) Futures commission merchant
(11) Banking or thrift institution
(12) Trust company
(13) Accountant or accounting firm
(14) Attorney or law firm
(15) Insurance company or agency
(16) Pension consultant
(17) Real estate broker or dealer
(18) Sponsor or syndicator of limited partnerships
(19) Engineer or engineering firm
(20) Other municipal advisor
B. Control Relationships and Foreign Relations
(1) Control Relationships
(a) Does the applicant control or is it controlled by the associated person? Yes No
(b) Are the applicant and the associated person under common control? Yes No
(2) Foreign Financial Regulatory Authority Registration
(a) Is the associated person registered with a foreign financial regulatory authority? Yes No
(b) List the name, in English: the name of each foreign financial regulatory authority, the associated person's registration number with that authority (if any), and the country in which the authority has jurisdiction.
Select only one: AddDelete Amend
Legal Name of Associated Person:
Snowhawk LP
Primary Business Name of Associated Person:
Snowhawk LP
A. Associated person is a: Check all that apply.
(1) Broker-dealer, municipal securities dealer, or government securities broker or dealer
(2) Investment company (including mutual funds)
(3) Investment adviser (including financial planners)
(4) Swap dealer
(5) Security-based swap dealer
(6) Major swap participant
(7) Major security-based swap participant
(8) Commodity pool operator (whether registered or exempt from registration)
(9) Commodity trading advisor (whether registered or exempt from registration)
(10) Futures commission merchant
(11) Banking or thrift institution
(12) Trust company
(13) Accountant or accounting firm
(14) Attorney or law firm
(15) Insurance company or agency
(16) Pension consultant
(17) Real estate broker or dealer
(18) Sponsor or syndicator of limited partnerships
(19) Engineer or engineering firm
(20) Other municipal advisor
B. Control Relationships and Foreign Relations
(1) Control Relationships
(a) Does the applicant control or is it controlled by the associated person? Yes No
(b) Are the applicant and the associated person under common control? Yes No
(2) Foreign Financial Regulatory Authority Registration
(a) Is the associated person registered with a foreign financial regulatory authority? Yes No
(b) List the name, in English: the name of each foreign financial regulatory authority, the associated person's registration number with that authority (if any), and the country in which the authority has jurisdiction.
Select only one: AddDelete Amend
Legal Name of Associated Person:
Arcmont Asset Management Limited
Primary Business Name of Associated Person:
Arcmont Asset Management Limited
A. Associated person is a: Check all that apply.
(1) Broker-dealer, municipal securities dealer, or government securities broker or dealer
(2) Investment company (including mutual funds)
(3) Investment adviser (including financial planners)
(4) Swap dealer
(5) Security-based swap dealer
(6) Major swap participant
(7) Major security-based swap participant
(8) Commodity pool operator (whether registered or exempt from registration)
(9) Commodity trading advisor (whether registered or exempt from registration)
(10) Futures commission merchant
(11) Banking or thrift institution
(12) Trust company
(13) Accountant or accounting firm
(14) Attorney or law firm
(15) Insurance company or agency
(16) Pension consultant
(17) Real estate broker or dealer
(18) Sponsor or syndicator of limited partnerships
(19) Engineer or engineering firm
(20) Other municipal advisor
B. Control Relationships and Foreign Relations
(1) Control Relationships
(a) Does the applicant control or is it controlled by the associated person? Yes No
(b) Are the applicant and the associated person under common control? Yes No
(2) Foreign Financial Regulatory Authority Registration
(a) Is the associated person registered with a foreign financial regulatory authority? Yes No
(b) List the name, in English: the name of each foreign financial regulatory authority, the associated person's registration number with that authority (if any), and the country in which the authority has jurisdiction.
English Name of
Foreign Financial Regulatory Authority:
UK FCA
Registration Number (if any): (Need to capture the right value from schema)
English Name of Country:
UNITED KINGDOM �
Select only one: AddDelete Amend
Legal Name of Associated Person:
Clean Energy Partners LLP
Primary Business Name of Associated Person:
Clean Energy Partners LLP
A. Associated person is a: Check all that apply.
(1) Broker-dealer, municipal securities dealer, or government securities broker or dealer
(2) Investment company (including mutual funds)
(3) Investment adviser (including financial planners)
(4) Swap dealer
(5) Security-based swap dealer
(6) Major swap participant
(7) Major security-based swap participant
(8) Commodity pool operator (whether registered or exempt from registration)
(9) Commodity trading advisor (whether registered or exempt from registration)
(10) Futures commission merchant
(11) Banking or thrift institution
(12) Trust company
(13) Accountant or accounting firm
(14) Attorney or law firm
(15) Insurance company or agency
(16) Pension consultant
(17) Real estate broker or dealer
(18) Sponsor or syndicator of limited partnerships
(19) Engineer or engineering firm
(20) Other municipal advisor
B. Control Relationships and Foreign Relations
(1) Control Relationships
(a) Does the applicant control or is it controlled by the associated person? Yes No
(b) Are the applicant and the associated person under common control? Yes No
(2) Foreign Financial Regulatory Authority Registration
(a) Is the associated person registered with a foreign financial regulatory authority? Yes No
(b) List the name, in English: the name of each foreign financial regulatory authority, the associated person's registration number with that authority (if any), and the country in which the authority has jurisdiction.
English Name of
Foreign Financial Regulatory Authority:
UK FCA
Registration Number (if any): (Need to capture the right value from schema)
English Name of Country:
UNITED KINGDOM �
Select only one: AddDelete Amend
Legal Name of Associated Person:
Glennmont Asset Management Limited
Primary Business Name of Associated Person:
Glennmont Asset Management Limited
A. Associated person is a: Check all that apply.
(1) Broker-dealer, municipal securities dealer, or government securities broker or dealer
(2) Investment company (including mutual funds)
(3) Investment adviser (including financial planners)
(4) Swap dealer
(5) Security-based swap dealer
(6) Major swap participant
(7) Major security-based swap participant
(8) Commodity pool operator (whether registered or exempt from registration)
(9) Commodity trading advisor (whether registered or exempt from registration)
(10) Futures commission merchant
(11) Banking or thrift institution
(12) Trust company
(13) Accountant or accounting firm
(14) Attorney or law firm
(15) Insurance company or agency
(16) Pension consultant
(17) Real estate broker or dealer
(18) Sponsor or syndicator of limited partnerships
(19) Engineer or engineering firm
(20) Other municipal advisor
B. Control Relationships and Foreign Relations
(1) Control Relationships
(a) Does the applicant control or is it controlled by the associated person? Yes No
(b) Are the applicant and the associated person under common control? Yes No
(2) Foreign Financial Regulatory Authority Registration
(a) Is the associated person registered with a foreign financial regulatory authority? Yes No
(b) List the name, in English: the name of each foreign financial regulatory authority, the associated person's registration number with that authority (if any), and the country in which the authority has jurisdiction.
English Name of
Foreign Financial Regulatory Authority:
UK FCA
Registration Number (if any): (Need to capture the right value from schema)
English Name of Country:
UNITED KINGDOM �
Select only one: AddDelete Amend
Legal Name of Associated Person:
Glennmont Partners I Limited
Primary Business Name of Associated Person:
Glennmont Partners I Limited
A. Associated person is a: Check all that apply.
(1) Broker-dealer, municipal securities dealer, or government securities broker or dealer
(2) Investment company (including mutual funds)
(3) Investment adviser (including financial planners)
(4) Swap dealer
(5) Security-based swap dealer
(6) Major swap participant
(7) Major security-based swap participant
(8) Commodity pool operator (whether registered or exempt from registration)
(9) Commodity trading advisor (whether registered or exempt from registration)
(10) Futures commission merchant
(11) Banking or thrift institution
(12) Trust company
(13) Accountant or accounting firm
(14) Attorney or law firm
(15) Insurance company or agency
(16) Pension consultant
(17) Real estate broker or dealer
(18) Sponsor or syndicator of limited partnerships
(19) Engineer or engineering firm
(20) Other municipal advisor
B. Control Relationships and Foreign Relations
(1) Control Relationships
(a) Does the applicant control or is it controlled by the associated person? Yes No
(b) Are the applicant and the associated person under common control? Yes No
(2) Foreign Financial Regulatory Authority Registration
(a) Is the associated person registered with a foreign financial regulatory authority? Yes No
(b) List the name, in English: the name of each foreign financial regulatory authority, the associated person's registration number with that authority (if any), and the country in which the authority has jurisdiction.
English Name of
Foreign Financial Regulatory Authority:
UK FCA
Registration Number (if any): (Need to capture the right value from schema)
English Name of Country:
UNITED KINGDOM �
Select only one: AddDelete Amend
Legal Name of Associated Person:
Nuveen Alternatives Europe SARL
Primary Business Name of Associated Person:
Nuveen Alternatives Europe SARL
A. Associated person is a: Check all that apply.
(1) Broker-dealer, municipal securities dealer, or government securities broker or dealer
(2) Investment company (including mutual funds)
(3) Investment adviser (including financial planners)
(4) Swap dealer
(5) Security-based swap dealer
(6) Major swap participant
(7) Major security-based swap participant
(8) Commodity pool operator (whether registered or exempt from registration)
(9) Commodity trading advisor (whether registered or exempt from registration)
(10) Futures commission merchant
(11) Banking or thrift institution
(12) Trust company
(13) Accountant or accounting firm
(14) Attorney or law firm
(15) Insurance company or agency
(16) Pension consultant
(17) Real estate broker or dealer
(18) Sponsor or syndicator of limited partnerships
(19) Engineer or engineering firm
(20) Other municipal advisor
B. Control Relationships and Foreign Relations
(1) Control Relationships
(a) Does the applicant control or is it controlled by the associated person? Yes No
(b) Are the applicant and the associated person under common control? Yes No
(2) Foreign Financial Regulatory Authority Registration
(a) Is the associated person registered with a foreign financial regulatory authority? Yes No
(b) List the name, in English: the name of each foreign financial regulatory authority, the associated person's registration number with that authority (if any), and the country in which the authority has jurisdiction.
English Name of
Foreign Financial Regulatory Authority:
Luxembourg CSSF
Registration Number (if any): (Need to capture the right value from schema)
English Name of Country:
LUXEMBOURG �
Select only one: AddDelete Amend
Legal Name of Associated Person:
Nuveen Asset Management Europe SARL
Primary Business Name of Associated Person:
Nuveen Asset Management Europe SARL
A. Associated person is a: Check all that apply.
(1) Broker-dealer, municipal securities dealer, or government securities broker or dealer
(2) Investment company (including mutual funds)
(3) Investment adviser (including financial planners)
(4) Swap dealer
(5) Security-based swap dealer
(6) Major swap participant
(7) Major security-based swap participant
(8) Commodity pool operator (whether registered or exempt from registration)
(9) Commodity trading advisor (whether registered or exempt from registration)
(10) Futures commission merchant
(11) Banking or thrift institution
(12) Trust company
(13) Accountant or accounting firm
(14) Attorney or law firm
(15) Insurance company or agency
(16) Pension consultant
(17) Real estate broker or dealer
(18) Sponsor or syndicator of limited partnerships
(19) Engineer or engineering firm
(20) Other municipal advisor
B. Control Relationships and Foreign Relations
(1) Control Relationships
(a) Does the applicant control or is it controlled by the associated person? Yes No
(b) Are the applicant and the associated person under common control? Yes No
(2) Foreign Financial Regulatory Authority Registration
(a) Is the associated person registered with a foreign financial regulatory authority? Yes No
(b) List the name, in English: the name of each foreign financial regulatory authority, the associated person's registration number with that authority (if any), and the country in which the authority has jurisdiction.
English Name of
Foreign Financial Regulatory Authority:
Luxembourg CSSF
Registration Number (if any): (Need to capture the right value from schema)
English Name of Country:
LUXEMBOURG �
Select only one: AddDelete Amend
Legal Name of Associated Person:
Nuveen Australia Limited
Primary Business Name of Associated Person:
Nuveen Australia Limited
A. Associated person is a: Check all that apply.
(1) Broker-dealer, municipal securities dealer, or government securities broker or dealer
(2) Investment company (including mutual funds)
(3) Investment adviser (including financial planners)
(4) Swap dealer
(5) Security-based swap dealer
(6) Major swap participant
(7) Major security-based swap participant
(8) Commodity pool operator (whether registered or exempt from registration)
(9) Commodity trading advisor (whether registered or exempt from registration)
(10) Futures commission merchant
(11) Banking or thrift institution
(12) Trust company
(13) Accountant or accounting firm
(14) Attorney or law firm
(15) Insurance company or agency
(16) Pension consultant
(17) Real estate broker or dealer
(18) Sponsor or syndicator of limited partnerships
(19) Engineer or engineering firm
(20) Other municipal advisor
B. Control Relationships and Foreign Relations
(1) Control Relationships
(a) Does the applicant control or is it controlled by the associated person? Yes No
(b) Are the applicant and the associated person under common control? Yes No
(2) Foreign Financial Regulatory Authority Registration
(a) Is the associated person registered with a foreign financial regulatory authority? Yes No
(b) List the name, in English: the name of each foreign financial regulatory authority, the associated person's registration number with that authority (if any), and the country in which the authority has jurisdiction.
English Name of
Foreign Financial Regulatory Authority:
Australian ASIC
Registration Number (if any): (Need to capture the right value from schema)
English Name of Country:
AUSTRALIA �
Select only one: AddDelete Amend
Legal Name of Associated Person:
Nuveen Canada Company
Primary Business Name of Associated Person:
Nuveen Canada Company
A. Associated person is a: Check all that apply.
(1) Broker-dealer, municipal securities dealer, or government securities broker or dealer
(2) Investment company (including mutual funds)
(3) Investment adviser (including financial planners)
(4) Swap dealer
(5) Security-based swap dealer
(6) Major swap participant
(7) Major security-based swap participant
(8) Commodity pool operator (whether registered or exempt from registration)
(9) Commodity trading advisor (whether registered or exempt from registration)
(10) Futures commission merchant
(11) Banking or thrift institution
(12) Trust company
(13) Accountant or accounting firm
(14) Attorney or law firm
(15) Insurance company or agency
(16) Pension consultant
(17) Real estate broker or dealer
(18) Sponsor or syndicator of limited partnerships
(19) Engineer or engineering firm
(20) Other municipal advisor
B. Control Relationships and Foreign Relations
(1) Control Relationships
(a) Does the applicant control or is it controlled by the associated person? Yes No
(b) Are the applicant and the associated person under common control? Yes No
(2) Foreign Financial Regulatory Authority Registration
(a) Is the associated person registered with a foreign financial regulatory authority? Yes No
(b) List the name, in English: the name of each foreign financial regulatory authority, the associated person's registration number with that authority (if any), and the country in which the authority has jurisdiction.
Select only one: AddDelete Amend
Legal Name of Associated Person:
Nuveen Hong Kong Limited
Primary Business Name of Associated Person:
Nuveen Hong Kong Limited
A. Associated person is a: Check all that apply.
(1) Broker-dealer, municipal securities dealer, or government securities broker or dealer
(2) Investment company (including mutual funds)
(3) Investment adviser (including financial planners)
(4) Swap dealer
(5) Security-based swap dealer
(6) Major swap participant
(7) Major security-based swap participant
(8) Commodity pool operator (whether registered or exempt from registration)
(9) Commodity trading advisor (whether registered or exempt from registration)
(10) Futures commission merchant
(11) Banking or thrift institution
(12) Trust company
(13) Accountant or accounting firm
(14) Attorney or law firm
(15) Insurance company or agency
(16) Pension consultant
(17) Real estate broker or dealer
(18) Sponsor or syndicator of limited partnerships
(19) Engineer or engineering firm
(20) Other municipal advisor
B. Control Relationships and Foreign Relations
(1) Control Relationships
(a) Does the applicant control or is it controlled by the associated person? Yes No
(b) Are the applicant and the associated person under common control? Yes No
(2) Foreign Financial Regulatory Authority Registration
(a) Is the associated person registered with a foreign financial regulatory authority? Yes No
(b) List the name, in English: the name of each foreign financial regulatory authority, the associated person's registration number with that authority (if any), and the country in which the authority has jurisdiction.
English Name of
Foreign Financial Regulatory Authority:
Hong Kong SC
Registration Number (if any): (Need to capture the right value from schema)
English Name of Country:
HONG KONG �
Select only one: AddDelete Amend
Legal Name of Associated Person:
Nuveen Investment Management International Limited
Primary Business Name of Associated Person:
Nuveen Investment Management International Limited
A. Associated person is a: Check all that apply.
(1) Broker-dealer, municipal securities dealer, or government securities broker or dealer
(2) Investment company (including mutual funds)
(3) Investment adviser (including financial planners)
(4) Swap dealer
(5) Security-based swap dealer
(6) Major swap participant
(7) Major security-based swap participant
(8) Commodity pool operator (whether registered or exempt from registration)
(9) Commodity trading advisor (whether registered or exempt from registration)
(10) Futures commission merchant
(11) Banking or thrift institution
(12) Trust company
(13) Accountant or accounting firm
(14) Attorney or law firm
(15) Insurance company or agency
(16) Pension consultant
(17) Real estate broker or dealer
(18) Sponsor or syndicator of limited partnerships
(19) Engineer or engineering firm
(20) Other municipal advisor
B. Control Relationships and Foreign Relations
(1) Control Relationships
(a) Does the applicant control or is it controlled by the associated person? Yes No
(b) Are the applicant and the associated person under common control? Yes No
(2) Foreign Financial Regulatory Authority Registration
(a) Is the associated person registered with a foreign financial regulatory authority? Yes No
(b) List the name, in English: the name of each foreign financial regulatory authority, the associated person's registration number with that authority (if any), and the country in which the authority has jurisdiction.
English Name of
Foreign Financial Regulatory Authority:
UK FCA
Registration Number (if any): (Need to capture the right value from schema)
English Name of Country:
UNITED KINGDOM �
Select only one: AddDelete Amend
Legal Name of Associated Person:
Nuveen Japan Co. Ltd
Primary Business Name of Associated Person:
Nuveen Japan Co. Ltd
A. Associated person is a: Check all that apply.
(1) Broker-dealer, municipal securities dealer, or government securities broker or dealer
(2) Investment company (including mutual funds)
(3) Investment adviser (including financial planners)
(4) Swap dealer
(5) Security-based swap dealer
(6) Major swap participant
(7) Major security-based swap participant
(8) Commodity pool operator (whether registered or exempt from registration)
(9) Commodity trading advisor (whether registered or exempt from registration)
(10) Futures commission merchant
(11) Banking or thrift institution
(12) Trust company
(13) Accountant or accounting firm
(14) Attorney or law firm
(15) Insurance company or agency
(16) Pension consultant
(17) Real estate broker or dealer
(18) Sponsor or syndicator of limited partnerships
(19) Engineer or engineering firm
(20) Other municipal advisor
B. Control Relationships and Foreign Relations
(1) Control Relationships
(a) Does the applicant control or is it controlled by the associated person? Yes No
(b) Are the applicant and the associated person under common control? Yes No
(2) Foreign Financial Regulatory Authority Registration
(a) Is the associated person registered with a foreign financial regulatory authority? Yes No
(b) List the name, in English: the name of each foreign financial regulatory authority, the associated person's registration number with that authority (if any), and the country in which the authority has jurisdiction.
English Name of
Foreign Financial Regulatory Authority:
Japan FSA
Registration Number (if any): (Need to capture the right value from schema)
English Name of Country:
JAPAN �
Select only one: AddDelete Amend
Legal Name of Associated Person:
Nuveen Middle East Limited
Primary Business Name of Associated Person:
Nuveen Middle East Limited
A. Associated person is a: Check all that apply.
(1) Broker-dealer, municipal securities dealer, or government securities broker or dealer
(2) Investment company (including mutual funds)
(3) Investment adviser (including financial planners)
(4) Swap dealer
(5) Security-based swap dealer
(6) Major swap participant
(7) Major security-based swap participant
(8) Commodity pool operator (whether registered or exempt from registration)
(9) Commodity trading advisor (whether registered or exempt from registration)
(10) Futures commission merchant
(11) Banking or thrift institution
(12) Trust company
(13) Accountant or accounting firm
(14) Attorney or law firm
(15) Insurance company or agency
(16) Pension consultant
(17) Real estate broker or dealer
(18) Sponsor or syndicator of limited partnerships
(19) Engineer or engineering firm
(20) Other municipal advisor
B. Control Relationships and Foreign Relations
(1) Control Relationships
(a) Does the applicant control or is it controlled by the associated person? Yes No
(b) Are the applicant and the associated person under common control? Yes No
(2) Foreign Financial Regulatory Authority Registration
(a) Is the associated person registered with a foreign financial regulatory authority? Yes No
(b) List the name, in English: the name of each foreign financial regulatory authority, the associated person's registration number with that authority (if any), and the country in which the authority has jurisdiction.
English Name of
Foreign Financial Regulatory Authority:
Abu Dhabi Global Market Registration Authority
Registration Number (if any): (Need to capture the right value from schema)
English Name of Country:
UNITED ARAB EMIRATES �
Select only one: AddDelete Amend
Legal Name of Associated Person:
Nuveen Singapore Private Ltd
Primary Business Name of Associated Person:
Nuveen Singapore Private Ltd
A. Associated person is a: Check all that apply.
(1) Broker-dealer, municipal securities dealer, or government securities broker or dealer
(2) Investment company (including mutual funds)
(3) Investment adviser (including financial planners)
(4) Swap dealer
(5) Security-based swap dealer
(6) Major swap participant
(7) Major security-based swap participant
(8) Commodity pool operator (whether registered or exempt from registration)
(9) Commodity trading advisor (whether registered or exempt from registration)
(10) Futures commission merchant
(11) Banking or thrift institution
(12) Trust company
(13) Accountant or accounting firm
(14) Attorney or law firm
(15) Insurance company or agency
(16) Pension consultant
(17) Real estate broker or dealer
(18) Sponsor or syndicator of limited partnerships
(19) Engineer or engineering firm
(20) Other municipal advisor
B. Control Relationships and Foreign Relations
(1) Control Relationships
(a) Does the applicant control or is it controlled by the associated person? Yes No
(b) Are the applicant and the associated person under common control? Yes No
(2) Foreign Financial Regulatory Authority Registration
(a) Is the associated person registered with a foreign financial regulatory authority? Yes No
(b) List the name, in English: the name of each foreign financial regulatory authority, the associated person's registration number with that authority (if any), and the country in which the authority has jurisdiction.
English Name of
Foreign Financial Regulatory Authority:
Singapore MAS
Registration Number (if any): (Need to capture the right value from schema)
English Name of Country:
SINGAPORE �
Select only one: AddDelete Amend
Legal Name of Associated Person:
Greenworks Lending LLC
Primary Business Name of Associated Person:
Greenworks Lending LLC
A. Associated person is a: Check all that apply.
(1) Broker-dealer, municipal securities dealer, or government securities broker or dealer
(2) Investment company (including mutual funds)
(3) Investment adviser (including financial planners)
(4) Swap dealer
(5) Security-based swap dealer
(6) Major swap participant
(7) Major security-based swap participant
(8) Commodity pool operator (whether registered or exempt from registration)
(9) Commodity trading advisor (whether registered or exempt from registration)
(10) Futures commission merchant
(11) Banking or thrift institution
(12) Trust company
(13) Accountant or accounting firm
(14) Attorney or law firm
(15) Insurance company or agency
(16) Pension consultant
(17) Real estate broker or dealer
(18) Sponsor or syndicator of limited partnerships
(19) Engineer or engineering firm
(20) Other municipal advisor
B. Control Relationships and Foreign Relations
(1) Control Relationships
(a) Does the applicant control or is it controlled by the associated person? Yes No
(b) Are the applicant and the associated person under common control? Yes No
(2) Foreign Financial Regulatory Authority Registration
(a) Is the associated person registered with a foreign financial regulatory authority? Yes No
(b) List the name, in English: the name of each foreign financial regulatory authority, the associated person's registration number with that authority (if any), and the country in which the authority has jurisdiction.
Select only one: AddDelete Amend
Legal Name of Associated Person:
GreenWood Resources Capital Management LLC
Primary Business Name of Associated Person:
GreenWood Resources Capital Management LLC
A. Associated person is a: Check all that apply.
(1) Broker-dealer, municipal securities dealer, or government securities broker or dealer
(2) Investment company (including mutual funds)
(3) Investment adviser (including financial planners)
(4) Swap dealer
(5) Security-based swap dealer
(6) Major swap participant
(7) Major security-based swap participant
(8) Commodity pool operator (whether registered or exempt from registration)
(9) Commodity trading advisor (whether registered or exempt from registration)
(10) Futures commission merchant
(11) Banking or thrift institution
(12) Trust company
(13) Accountant or accounting firm
(14) Attorney or law firm
(15) Insurance company or agency
(16) Pension consultant
(17) Real estate broker or dealer
(18) Sponsor or syndicator of limited partnerships
(19) Engineer or engineering firm
(20) Other municipal advisor
B. Control Relationships and Foreign Relations
(1) Control Relationships
(a) Does the applicant control or is it controlled by the associated person? Yes No
(b) Are the applicant and the associated person under common control? Yes No
(2) Foreign Financial Regulatory Authority Registration
(a) Is the associated person registered with a foreign financial regulatory authority? Yes No
(b) List the name, in English: the name of each foreign financial regulatory authority, the associated person's registration number with that authority (if any), and the country in which the authority has jurisdiction.
Select only one: AddDelete Amend
Legal Name of Associated Person:
Nuveen Natural Capital, LLC
Primary Business Name of Associated Person:
Nuveen Natural Capital, LLC
A. Associated person is a: Check all that apply.
(1) Broker-dealer, municipal securities dealer, or government securities broker or dealer
(2) Investment company (including mutual funds)
(3) Investment adviser (including financial planners)
(4) Swap dealer
(5) Security-based swap dealer
(6) Major swap participant
(7) Major security-based swap participant
(8) Commodity pool operator (whether registered or exempt from registration)
(9) Commodity trading advisor (whether registered or exempt from registration)
(10) Futures commission merchant
(11) Banking or thrift institution
(12) Trust company
(13) Accountant or accounting firm
(14) Attorney or law firm
(15) Insurance company or agency
(16) Pension consultant
(17) Real estate broker or dealer
(18) Sponsor or syndicator of limited partnerships
(19) Engineer or engineering firm
(20) Other municipal advisor
B. Control Relationships and Foreign Relations
(1) Control Relationships
(a) Does the applicant control or is it controlled by the associated person? Yes No
(b) Are the applicant and the associated person under common control? Yes No
(2) Foreign Financial Regulatory Authority Registration
(a) Is the associated person registered with a foreign financial regulatory authority? Yes No
(b) List the name, in English: the name of each foreign financial regulatory authority, the associated person's registration number with that authority (if any), and the country in which the authority has jurisdiction.
Select only one: AddDelete Amend
Legal Name of Associated Person:
Symphony Alternative Asset Management LLC
Primary Business Name of Associated Person:
Symphony Alternative Asset Management LLC
A. Associated person is a: Check all that apply.
(1) Broker-dealer, municipal securities dealer, or government securities broker or dealer
(2) Investment company (including mutual funds)
(3) Investment adviser (including financial planners)
(4) Swap dealer
(5) Security-based swap dealer
(6) Major swap participant
(7) Major security-based swap participant
(8) Commodity pool operator (whether registered or exempt from registration)
(9) Commodity trading advisor (whether registered or exempt from registration)
(10) Futures commission merchant
(11) Banking or thrift institution
(12) Trust company
(13) Accountant or accounting firm
(14) Attorney or law firm
(15) Insurance company or agency
(16) Pension consultant
(17) Real estate broker or dealer
(18) Sponsor or syndicator of limited partnerships
(19) Engineer or engineering firm
(20) Other municipal advisor
B. Control Relationships and Foreign Relations
(1) Control Relationships
(a) Does the applicant control or is it controlled by the associated person? Yes No
(b) Are the applicant and the associated person under common control? Yes No
(2) Foreign Financial Regulatory Authority Registration
(a) Is the associated person registered with a foreign financial regulatory authority? Yes No
(b) List the name, in English: the name of each foreign financial regulatory authority, the associated person's registration number with that authority (if any), and the country in which the authority has jurisdiction.
Select only one: AddDelete Amend
Legal Name of Associated Person:
Westchester Group Investment Management, LLC
Primary Business Name of Associated Person:
Westchester Group Investment Management, LLC
A. Associated person is a: Check all that apply.
(1) Broker-dealer, municipal securities dealer, or government securities broker or dealer
(2) Investment company (including mutual funds)
(3) Investment adviser (including financial planners)
(4) Swap dealer
(5) Security-based swap dealer
(6) Major swap participant
(7) Major security-based swap participant
(8) Commodity pool operator (whether registered or exempt from registration)
(9) Commodity trading advisor (whether registered or exempt from registration)
(10) Futures commission merchant
(11) Banking or thrift institution
(12) Trust company
(13) Accountant or accounting firm
(14) Attorney or law firm
(15) Insurance company or agency
(16) Pension consultant
(17) Real estate broker or dealer
(18) Sponsor or syndicator of limited partnerships
(19) Engineer or engineering firm
(20) Other municipal advisor
B. Control Relationships and Foreign Relations
(1) Control Relationships
(a) Does the applicant control or is it controlled by the associated person? Yes No
(b) Are the applicant and the associated person under common control? Yes No
(2) Foreign Financial Regulatory Authority Registration
(a) Is the associated person registered with a foreign financial regulatory authority? Yes No
(b) List the name, in English: the name of each foreign financial regulatory authority, the associated person's registration number with that authority (if any), and the country in which the authority has jurisdiction.
Select only one: AddDelete Amend
Legal Name of Associated Person:
Westchester Group Real Estate, LLC
Primary Business Name of Associated Person:
Westchester Group Real Estate, LLC
A. Associated person is a: Check all that apply.
(1) Broker-dealer, municipal securities dealer, or government securities broker or dealer
(2) Investment company (including mutual funds)
(3) Investment adviser (including financial planners)
(4) Swap dealer
(5) Security-based swap dealer
(6) Major swap participant
(7) Major security-based swap participant
(8) Commodity pool operator (whether registered or exempt from registration)
(9) Commodity trading advisor (whether registered or exempt from registration)
(10) Futures commission merchant
(11) Banking or thrift institution
(12) Trust company
(13) Accountant or accounting firm
(14) Attorney or law firm
(15) Insurance company or agency
(16) Pension consultant
(17) Real estate broker or dealer
(18) Sponsor or syndicator of limited partnerships
(19) Engineer or engineering firm
(20) Other municipal advisor
B. Control Relationships and Foreign Relations
(1) Control Relationships
(a) Does the applicant control or is it controlled by the associated person? Yes No
(b) Are the applicant and the associated person under common control? Yes No
(2) Foreign Financial Regulatory Authority Registration
(a) Is the associated person registered with a foreign financial regulatory authority? Yes No
(b) List the name, in English: the name of each foreign financial regulatory authority, the associated person's registration number with that authority (if any), and the country in which the authority has jurisdiction.
SECTION 8 Control Persons (on a basis other than 25% ownership or executive officer status)
Section 8-A. A separate Schedule D must be completed for each control person not named in Item 1-A. or Schedules A, B, or C that directly or indirectly controls the applicant's management or policies.
Section 8-B. If any person named in Schedules A, B, or C or in Section 8-A of this Schedule D is a public reporting company under Sections 12 or 15(d) of the Securities Exchange Act of 1934, provide the information below. A separate Schedule D must be completed for each public reporting company.
Schedule D: MISCELLANEOUS
The space below may be used to explain a response to an Item or to provide any other information.
4.A.: Technically, all personnel performing services for applicant are employees of Teachers Insurance and Annuity Association of America ("TIAA"), but for purposes of this Form MA, we assumed that the employees were employees of applicant. 4.I.(5).: For the services applicant provides to each qualified tuition program (services include investment advisory services), applicant receives an annualized asset-based fee from program assets calculated and accrued daily and payable monthly in arrears. 8.A. (1) (a), Schedule B-1: There are no individuals who own at least a 25% interest in the TIAA Board of Overseers.�
GENERAL INSTRUCTIONS
This Disclosure Reporting Page (DRP MA) is an INITIALOR AMENDED response used to report details for affirmative responses to Items 9-C, 9-D, 9-E, 9-F or 9-G of Form MA.
Check item(s) being responded to:�
�9-C(1)����
�9-C(2) ���
�9-C(3)��
�9-C(4)
�9-C(5)
9-D(1)
9-D(2)
9-D(3)�
�9-D(4)��
�9-D(5)
��9-E(1)�
�9-E(2)�
�9-E(3)��
�9-E(4)
�
How to Report an Event or Proceeding on a Regulatory Action DRP: � Use a separate DRP for each event or proceeding .� The same event or proceeding may be reported for more than one person or entity using one DRP.�One event may result in more than one affirmative answer to Items 9-C, 9-D, 9-E, 9-F, and/or 9-G. �If an event gives rise to actions by more than one regulator, provide details for each action on a separate DRP.
REGULATORY ACTION DRP PART 1
Check all that apply, except where noted
A.��� The person(s) or entity(ies) for whom this DRP is being filed is (are) the: ��
Applicant (the municipal advisory firm)
Applicant and one or more of the applicant's associated person(s)
One or more of applicant's associated person(s)
1. Applicant
(a) Is this DRP an amendment filed for the applicant that seeks to remove a previously filed DRP concerning the applicant from the record?
YES��� NO
(b) If "Yes," the reason the DRP should be removed is:
The applicant is registered or applying for registration and the event or proceeding was resolved in the applicant's favor.
The DRP was filed in error.
Explain the circumstances:
�
2. Associated Person(s)
(a) Does this DRP concern one or more associated persons?
Yes��� No
����(i) If "Yes," indicate the total number of such associated person(s):
(b) Identify each such associated firm and/or natural person in the space below:
Entry
�Firm
Full name of the
associated person:
Teachers Insurance and Annuity Association of America�
The associated person is: registered with the SECnot registered with the SEC
SEC Registration No.
CRD No., if any
Is this DRP an amendment that seeks to remove a previously filed DRP concerning this associated person?
Yes No
If "Yes," the reason the DRP should be removed is:
The associated person(s) is no longer associated with the advisor.
The event or proceeding was resolved in the associated person's favor
The DRP was filed in error. Explain the circumstances:
�
Natural person
Full name of the associated person:
Enter all the letters of each name and not initials or other abbreviations.
If no middle name, enter NMN on that line.
First Name
Middle Name
Last Name
Suffix
The associated person is:
registered with the SEC
SEC Registration No.:
not registered with the SEC
CRD No., if any:
Is this DRP an amendment that seeks to remove a previously filed DRP concerning this associated person?
Yes No
If "Yes," the reason the DRP should be removed is:
The associated person(s) is no longer associated with the advisor.
The event or proceeding was resolved in the associated person's favor.
The DRP was filed in error. Explain the circumstances:
Associated Person(s)
B.�DRP Filed Elsewhere for This Event:
����Is an accurate and up-to-date DRP containing the information regarding the applicant or associated person required by this DRP already on file (a) in the IARD or CRD system (with a Form ADV, BD, or U4), or (b) in the SEC's EDGAR system (with a Form MA or Form MA-I)?
YES NO
If the answer is "Yes," provide the applicable information indicated below that identifies where the DRP may be found.
1. Form ADV, BD, or U4 Filing
2. Form MA Filing
3. Form MA-I Filing
1. Form ADV, BD, or U4 Filing:
For a DRP filed on the IARD or CRD system with one of these forms, provide the following information:
TIAA-CREF Individual & Institutional Services, LLC�
Name on Registration
CRD No.
1405333�
Disclosure Occurrence No.
2. Form MA Filing:
For a DRP filed on EDGAR with a Form MA, provide the following information:
MA Registration Number
Date of Filing that contains the DRP (MM/DD/YYYY)
Accession number of the filing
3. Form MA-I Filing:
For a DRP filed on EDGAR with a Form MA-I, provide the following information:
MA-I Registration Number
Date of Filing that contains the disclosure
GENERAL INSTRUCTIONS
This Disclosure Reporting Page (DRP MA) is an INITIALOR AMENDED response used to report details for affirmative responses to Items 9-C, 9-D, 9-E, 9-F or 9-G of Form MA.
Check item(s) being responded to:�
�9-C(1)����
�9-C(2) ���
�9-C(3)��
�9-C(4)
�9-C(5)
9-D(1)
9-D(2)
9-D(3)�
�9-D(4)��
�9-D(5)
��9-E(1)�
�9-E(2)�
�9-E(3)��
�9-E(4)
�
How to Report an Event or Proceeding on a Regulatory Action DRP: � Use a separate DRP for each event or proceeding .� The same event or proceeding may be reported for more than one person or entity using one DRP.�One event may result in more than one affirmative answer to Items 9-C, 9-D, 9-E, 9-F, and/or 9-G. �If an event gives rise to actions by more than one regulator, provide details for each action on a separate DRP.
REGULATORY ACTION DRP PART 1
Check all that apply, except where noted
A.��� The person(s) or entity(ies) for whom this DRP is being filed is (are) the: ��
Applicant (the municipal advisory firm)
Applicant and one or more of the applicant's associated person(s)
One or more of applicant's associated person(s)
1. Applicant
(a) Is this DRP an amendment filed for the applicant that seeks to remove a previously filed DRP concerning the applicant from the record?
YES��� NO
(b) If "Yes," the reason the DRP should be removed is:
The applicant is registered or applying for registration and the event or proceeding was resolved in the applicant's favor.
The DRP was filed in error.
Explain the circumstances:
�
2. Associated Person(s)
(a) Does this DRP concern one or more associated persons?
Yes��� No
����(i) If "Yes," indicate the total number of such associated person(s):
(b) Identify each such associated firm and/or natural person in the space below:
Entry
�Firm
Full name of the
associated person:
Teachers Insurance and Annuity Association of America (TIAA)�
The associated person is: registered with the SECnot registered with the SEC
SEC Registration No.
CRD No., if any
Is this DRP an amendment that seeks to remove a previously filed DRP concerning this associated person?
Yes No
If "Yes," the reason the DRP should be removed is:
The associated person(s) is no longer associated with the advisor.
The event or proceeding was resolved in the associated person's favor
The DRP was filed in error. Explain the circumstances:
�
Natural person
Full name of the associated person:
Enter all the letters of each name and not initials or other abbreviations.
If no middle name, enter NMN on that line.
First Name
Middle Name
Last Name
Suffix
The associated person is:
registered with the SEC
SEC Registration No.:
not registered with the SEC
CRD No., if any:
Is this DRP an amendment that seeks to remove a previously filed DRP concerning this associated person?
Yes No
If "Yes," the reason the DRP should be removed is:
The associated person(s) is no longer associated with the advisor.
The event or proceeding was resolved in the associated person's favor.
The DRP was filed in error. Explain the circumstances:
Associated Person(s)
B.�DRP Filed Elsewhere for This Event:
����Is an accurate and up-to-date DRP containing the information regarding the applicant or associated person required by this DRP already on file (a) in the IARD or CRD system (with a Form ADV, BD, or U4), or (b) in the SEC's EDGAR system (with a Form MA or Form MA-I)?
YES NO
If the answer is "Yes," provide the applicable information indicated below that identifies where the DRP may be found.
1. Form ADV, BD, or U4 Filing
2. Form MA Filing
3. Form MA-I Filing
1. Form ADV, BD, or U4 Filing:
For a DRP filed on the IARD or CRD system with one of these forms, provide the following information:
TIAA-CREF Tuition Financing, Inc.�
Name on Registration
CRD No.
132458�
Disclosure Occurrence No.
2. Form MA Filing:
For a DRP filed on EDGAR with a Form MA, provide the following information:
MA Registration Number
Date of Filing that contains the DRP (MM/DD/YYYY)
Accession number of the filing
3. Form MA-I Filing:
For a DRP filed on EDGAR with a Form MA-I, provide the following information:
MA-I Registration Number
Date of Filing that contains the disclosure
GENERAL INSTRUCTIONS
This Disclosure Reporting Page (DRP MA) is an INITIALOR AMENDED response used to report details for affirmative responses to Items 9-C, 9-D, 9-E, 9-F or 9-G of Form MA.
Check item(s) being responded to:�
�9-C(1)����
�9-C(2) ���
�9-C(3)��
�9-C(4)
�9-C(5)
9-D(1)
9-D(2)
9-D(3)�
�9-D(4)��
�9-D(5)
��9-E(1)�
�9-E(2)�
�9-E(3)��
�9-E(4)
�
How to Report an Event or Proceeding on a Regulatory Action DRP: � Use a separate DRP for each event or proceeding .� The same event or proceeding may be reported for more than one person or entity using one DRP.�One event may result in more than one affirmative answer to Items 9-C, 9-D, 9-E, 9-F, and/or 9-G. �If an event gives rise to actions by more than one regulator, provide details for each action on a separate DRP.
REGULATORY ACTION DRP PART 1
Check all that apply, except where noted
A.��� The person(s) or entity(ies) for whom this DRP is being filed is (are) the: ��
Applicant (the municipal advisory firm)
Applicant and one or more of the applicant's associated person(s)
One or more of applicant's associated person(s)
1. Applicant
(a) Is this DRP an amendment filed for the applicant that seeks to remove a previously filed DRP concerning the applicant from the record?
YES��� NO
(b) If "Yes," the reason the DRP should be removed is:
The applicant is registered or applying for registration and the event or proceeding was resolved in the applicant's favor.
The DRP was filed in error.
Explain the circumstances:
�
2. Associated Person(s)
(a) Does this DRP concern one or more associated persons?
Yes��� No
����(i) If "Yes," indicate the total number of such associated person(s):
(b) Identify each such associated firm and/or natural person in the space below:
Entry
�Firm
Full name of the
associated person:
TIAA-CREF Individual & Institutional Services, LLC�
The associated person is: registered with the SECnot registered with the SEC
SEC Registration No.
CRD No., if any
Is this DRP an amendment that seeks to remove a previously filed DRP concerning this associated person?
Yes No
If "Yes," the reason the DRP should be removed is:
The associated person(s) is no longer associated with the advisor.
The event or proceeding was resolved in the associated person's favor
The DRP was filed in error. Explain the circumstances:
�
Natural person
Full name of the associated person:
Enter all the letters of each name and not initials or other abbreviations.
If no middle name, enter NMN on that line.
First Name
Middle Name
Last Name
Suffix
The associated person is:
registered with the SEC
SEC Registration No.:
not registered with the SEC
CRD No., if any:
Is this DRP an amendment that seeks to remove a previously filed DRP concerning this associated person?
Yes No
If "Yes," the reason the DRP should be removed is:
The associated person(s) is no longer associated with the advisor.
The event or proceeding was resolved in the associated person's favor.
The DRP was filed in error. Explain the circumstances:
Associated Person(s)
B.�DRP Filed Elsewhere for This Event:
����Is an accurate and up-to-date DRP containing the information regarding the applicant or associated person required by this DRP already on file (a) in the IARD or CRD system (with a Form ADV, BD, or U4), or (b) in the SEC's EDGAR system (with a Form MA or Form MA-I)?
YES NO
If the answer is "Yes," provide the applicable information indicated below that identifies where the DRP may be found.
1. Form ADV, BD, or U4 Filing
2. Form MA Filing
3. Form MA-I Filing
1. Form ADV, BD, or U4 Filing:
For a DRP filed on the IARD or CRD system with one of these forms, provide the following information:
TIAA-CREF Individual & Institutional Services, LLC�
Name on Registration
CRD No.
2145889�
Disclosure Occurrence No.
2. Form MA Filing:
For a DRP filed on EDGAR with a Form MA, provide the following information:
MA Registration Number
Date of Filing that contains the DRP (MM/DD/YYYY)
Accession number of the filing
3. Form MA-I Filing:
For a DRP filed on EDGAR with a Form MA-I, provide the following information:
MA-I Registration Number
Date of Filing that contains the disclosure
GENERAL INSTRUCTIONS
This Disclosure Reporting Page (DRP MA) is an INITIALOR AMENDED response used to report details for affirmative responses to Items 9-C, 9-D, 9-E, 9-F or 9-G of Form MA.
Check item(s) being responded to:�
�9-C(1)����
�9-C(2) ���
�9-C(3)��
�9-C(4)
�9-C(5)
9-D(1)
9-D(2)
9-D(3)�
�9-D(4)��
�9-D(5)
��9-E(1)�
�9-E(2)�
�9-E(3)��
�9-E(4)
�
How to Report an Event or Proceeding on a Regulatory Action DRP: � Use a separate DRP for each event or proceeding .� The same event or proceeding may be reported for more than one person or entity using one DRP.�One event may result in more than one affirmative answer to Items 9-C, 9-D, 9-E, 9-F, and/or 9-G. �If an event gives rise to actions by more than one regulator, provide details for each action on a separate DRP.
REGULATORY ACTION DRP PART 1
Check all that apply, except where noted
A.��� The person(s) or entity(ies) for whom this DRP is being filed is (are) the: ��
Applicant (the municipal advisory firm)
Applicant and one or more of the applicant's associated person(s)
One or more of applicant's associated person(s)
1. Applicant
(a) Is this DRP an amendment filed for the applicant that seeks to remove a previously filed DRP concerning the applicant from the record?
YES��� NO
(b) If "Yes," the reason the DRP should be removed is:
The applicant is registered or applying for registration and the event or proceeding was resolved in the applicant's favor.
The DRP was filed in error.
Explain the circumstances:
�
2. Associated Person(s)
(a) Does this DRP concern one or more associated persons?
Yes��� No
����(i) If "Yes," indicate the total number of such associated person(s):
(b) Identify each such associated firm and/or natural person in the space below:
Entry
�Firm
Full name of the
associated person:
TIAA-CREF Individual & Institutional Services, LLC�
The associated person is: registered with the SECnot registered with the SEC
SEC Registration No.
CRD No., if any
Is this DRP an amendment that seeks to remove a previously filed DRP concerning this associated person?
Yes No
If "Yes," the reason the DRP should be removed is:
The associated person(s) is no longer associated with the advisor.
The event or proceeding was resolved in the associated person's favor
The DRP was filed in error. Explain the circumstances:
�
Natural person
Full name of the associated person:
Enter all the letters of each name and not initials or other abbreviations.
If no middle name, enter NMN on that line.
First Name
Middle Name
Last Name
Suffix
The associated person is:
registered with the SEC
SEC Registration No.:
not registered with the SEC
CRD No., if any:
Is this DRP an amendment that seeks to remove a previously filed DRP concerning this associated person?
Yes No
If "Yes," the reason the DRP should be removed is:
The associated person(s) is no longer associated with the advisor.
The event or proceeding was resolved in the associated person's favor.
The DRP was filed in error. Explain the circumstances:
Associated Person(s)
B.�DRP Filed Elsewhere for This Event:
����Is an accurate and up-to-date DRP containing the information regarding the applicant or associated person required by this DRP already on file (a) in the IARD or CRD system (with a Form ADV, BD, or U4), or (b) in the SEC's EDGAR system (with a Form MA or Form MA-I)?
YES NO
If the answer is "Yes," provide the applicable information indicated below that identifies where the DRP may be found.
1. Form ADV, BD, or U4 Filing
2. Form MA Filing
3. Form MA-I Filing
1. Form ADV, BD, or U4 Filing:
For a DRP filed on the IARD or CRD system with one of these forms, provide the following information:
TIAA-CREF Individual & Institutional Services, LLC�
Name on Registration
CRD No.
2140841�
Disclosure Occurrence No.
2. Form MA Filing:
For a DRP filed on EDGAR with a Form MA, provide the following information:
MA Registration Number
Date of Filing that contains the DRP (MM/DD/YYYY)
Accession number of the filing
3. Form MA-I Filing:
For a DRP filed on EDGAR with a Form MA-I, provide the following information:
MA-I Registration Number
Date of Filing that contains the disclosure
GENERAL INSTRUCTIONS
This Disclosure Reporting Page (DRP MA) is an INITIALOR AMENDED response used to report details for affirmative responses to Items 9-C, 9-D, 9-E, 9-F or 9-G of Form MA.
Check item(s) being responded to:�
�9-C(1)����
�9-C(2) ���
�9-C(3)��
�9-C(4)
�9-C(5)
9-D(1)
9-D(2)
9-D(3)�
�9-D(4)��
�9-D(5)
��9-E(1)�
�9-E(2)�
�9-E(3)��
�9-E(4)
�
How to Report an Event or Proceeding on a Regulatory Action DRP: � Use a separate DRP for each event or proceeding .� The same event or proceeding may be reported for more than one person or entity using one DRP.�One event may result in more than one affirmative answer to Items 9-C, 9-D, 9-E, 9-F, and/or 9-G. �If an event gives rise to actions by more than one regulator, provide details for each action on a separate DRP.
REGULATORY ACTION DRP PART 1
Check all that apply, except where noted
A.��� The person(s) or entity(ies) for whom this DRP is being filed is (are) the: ��
Applicant (the municipal advisory firm)
Applicant and one or more of the applicant's associated person(s)
One or more of applicant's associated person(s)
1. Applicant
(a) Is this DRP an amendment filed for the applicant that seeks to remove a previously filed DRP concerning the applicant from the record?
YES��� NO
(b) If "Yes," the reason the DRP should be removed is:
The applicant is registered or applying for registration and the event or proceeding was resolved in the applicant's favor.
The DRP was filed in error.
Explain the circumstances:
�
2. Associated Person(s)
(a) Does this DRP concern one or more associated persons?
Yes��� No
����(i) If "Yes," indicate the total number of such associated person(s):
(b) Identify each such associated firm and/or natural person in the space below:
Entry
�Firm
Full name of the
associated person:
TIAA-CREF Individual & Institutional Services, LLC�
The associated person is: registered with the SECnot registered with the SEC
SEC Registration No.
CRD No., if any
Is this DRP an amendment that seeks to remove a previously filed DRP concerning this associated person?
Yes No
If "Yes," the reason the DRP should be removed is:
The associated person(s) is no longer associated with the advisor.
The event or proceeding was resolved in the associated person's favor
The DRP was filed in error. Explain the circumstances:
�
Natural person
Full name of the associated person:
Enter all the letters of each name and not initials or other abbreviations.
If no middle name, enter NMN on that line.
First Name
Middle Name
Last Name
Suffix
The associated person is:
registered with the SEC
SEC Registration No.:
not registered with the SEC
CRD No., if any:
Is this DRP an amendment that seeks to remove a previously filed DRP concerning this associated person?
Yes No
If "Yes," the reason the DRP should be removed is:
The associated person(s) is no longer associated with the advisor.
The event or proceeding was resolved in the associated person's favor.
The DRP was filed in error. Explain the circumstances:
Associated Person(s)
B.�DRP Filed Elsewhere for This Event:
����Is an accurate and up-to-date DRP containing the information regarding the applicant or associated person required by this DRP already on file (a) in the IARD or CRD system (with a Form ADV, BD, or U4), or (b) in the SEC's EDGAR system (with a Form MA or Form MA-I)?
YES NO
If the answer is "Yes," provide the applicable information indicated below that identifies where the DRP may be found.
1. Form ADV, BD, or U4 Filing
2. Form MA Filing
3. Form MA-I Filing
1. Form ADV, BD, or U4 Filing:
For a DRP filed on the IARD or CRD system with one of these forms, provide the following information:
TIAA-CREF Individual & Institutional Services, LLC�
Name on Registration
CRD No.
3-21856�
Disclosure Occurrence No.
2. Form MA Filing:
For a DRP filed on EDGAR with a Form MA, provide the following information:
MA Registration Number
Date of Filing that contains the DRP (MM/DD/YYYY)
Accession number of the filing
3. Form MA-I Filing:
For a DRP filed on EDGAR with a Form MA-I, provide the following information:
MA-I Registration Number
Date of Filing that contains the disclosure
GENERAL INSTRUCTIONS
This Disclosure Reporting Page (DRP MA) is an INITIALOR AMENDED response used to report details for affirmative responses to Items 9-C, 9-D, 9-E, 9-F or 9-G of Form MA.
Check item(s) being responded to:�
�9-C(1)����
�9-C(2) ���
�9-C(3)��
�9-C(4)
�9-C(5)
9-D(1)
9-D(2)
9-D(3)�
�9-D(4)��
�9-D(5)
��9-E(1)�
�9-E(2)�
�9-E(3)��
�9-E(4)
�
How to Report an Event or Proceeding on a Regulatory Action DRP: � Use a separate DRP for each event or proceeding .� The same event or proceeding may be reported for more than one person or entity using one DRP.�One event may result in more than one affirmative answer to Items 9-C, 9-D, 9-E, 9-F, and/or 9-G. �If an event gives rise to actions by more than one regulator, provide details for each action on a separate DRP.
REGULATORY ACTION DRP PART 1
Check all that apply, except where noted
A.��� The person(s) or entity(ies) for whom this DRP is being filed is (are) the: ��
Applicant (the municipal advisory firm)
Applicant and one or more of the applicant's associated person(s)
One or more of applicant's associated person(s)
1. Applicant
(a) Is this DRP an amendment filed for the applicant that seeks to remove a previously filed DRP concerning the applicant from the record?
YES��� NO
(b) If "Yes," the reason the DRP should be removed is:
The applicant is registered or applying for registration and the event or proceeding was resolved in the applicant's favor.
The DRP was filed in error.
Explain the circumstances:
�
2. Associated Person(s)
(a) Does this DRP concern one or more associated persons?
Yes��� No
����(i) If "Yes," indicate the total number of such associated person(s):
(b) Identify each such associated firm and/or natural person in the space below:
Entry
�Firm
Full name of the
associated person:
TEACHERS INSURANCE AND ANNUITY ASSOCIATION OF AMERICA�
The associated person is: registered with the SECnot registered with the SEC
SEC Registration No.
CRD No., if any
Is this DRP an amendment that seeks to remove a previously filed DRP concerning this associated person?
Yes No
If "Yes," the reason the DRP should be removed is:
The associated person(s) is no longer associated with the advisor.
The event or proceeding was resolved in the associated person's favor
The DRP was filed in error. Explain the circumstances:
�
Natural person
Full name of the associated person:
Enter all the letters of each name and not initials or other abbreviations.
If no middle name, enter NMN on that line.
First Name
Middle Name
Last Name
Suffix
The associated person is:
registered with the SEC
SEC Registration No.:
not registered with the SEC
CRD No., if any:
Is this DRP an amendment that seeks to remove a previously filed DRP concerning this associated person?
Yes No
If "Yes," the reason the DRP should be removed is:
The associated person(s) is no longer associated with the advisor.
The event or proceeding was resolved in the associated person's favor.
The DRP was filed in error. Explain the circumstances:
Entry
�Firm
Full name of the
associated person:
TIAA-CREF LIFE INSURANCE COMPANY�
The associated person is: registered with the SECnot registered with the SEC
SEC Registration No.
CRD No., if any
Is this DRP an amendment that seeks to remove a previously filed DRP concerning this associated person?
Yes No
If "Yes," the reason the DRP should be removed is:
The associated person(s) is no longer associated with the advisor.
The event or proceeding was resolved in the associated person's favor
The DRP was filed in error. Explain the circumstances:
�
Natural person
Full name of the associated person:
Enter all the letters of each name and not initials or other abbreviations.
If no middle name, enter NMN on that line.
First Name
Middle Name
Last Name
Suffix
The associated person is:
registered with the SEC
SEC Registration No.:
not registered with the SEC
CRD No., if any:
Is this DRP an amendment that seeks to remove a previously filed DRP concerning this associated person?
Yes No
If "Yes," the reason the DRP should be removed is:
The associated person(s) is no longer associated with the advisor.
The event or proceeding was resolved in the associated person's favor.
The DRP was filed in error. Explain the circumstances:
Associated Person(s)
B.�DRP Filed Elsewhere for This Event:
����Is an accurate and up-to-date DRP containing the information regarding the applicant or associated person required by this DRP already on file (a) in the IARD or CRD system (with a Form ADV, BD, or U4), or (b) in the SEC's EDGAR system (with a Form MA or Form MA-I)?
YES NO
Associated Person(s)
B.�DRP Filed Elsewhere for This Event:
����Is an accurate and up-to-date DRP containing the information regarding the applicant or associated person required by this DRP already on file (a) in the IARD or CRD system (with a Form ADV, BD, or U4), or (b) in the SEC's EDGAR system (with a Form MA or Form MA-I)?
YES NO
REGULATORY ACTION DRP PART 2
1.���� Regulatory Action was initiated by: ��� (Select only one. A separate Regulatory Action DRP is required for each such regulator or other authority.)
SEC
State
Foreign Financial Regulatory Authority
CFTC
SRO
Other: (specify)
Federal Banking Agency
National Credit Union Administration
Other Federal Authority
B. Full name of the individual regulator (if not fully identified in Item 1-A.) or other authority that initiated the action. For a foreign financial regulatory authority, please provide the full name in English.
Maryland Insurance Administration
2. Sanction(s) Sought: Check all that apply.
Bar (Permanent)
Disgorgement
Restitution
Bar (Temporary / Time Limited)
Expulsion
Requalification
Cease and Desist
Injunction
Revocation
Censure
Prohibition
Suspension
Civil/Administrative Penalty(ies)/Fine(s)
Reprimand
Undertaking
Other Sanction(s) Sought (list each such additional sanction):
Consent Order
3. Date Initiated (MM/DD/YYYY): � �� Exact Explanation � ����� ��
If not exact, provide explanation:�
�
4. Regulatory Action was brought in(if brought in a foreign jurisdiction, provide all the information below in English):
A. Name of the Administrative Proceeding, Commission/Agency Hearing, or other regulatory proceeding or forum:
MARYLAND INSURANCE ADMINISTRATION ��
B. Location of the Proceeding / Hearing:
Street Address 1
Street Address 2
City or County
Postal Code
C. Docket/Case Number:
MCLH-2-2024-I AND MCLH-3-2024-I �
5. A.�Principal Product Type (check appropriate item):
No Product
Annuity - Charitable
Direct Investment - DPP & LP Interest
Oil & Gas
Annuity - Fixed
Equipment Leasing
Options
Annuity - Variable
Equity Listed (Common & Preferred Stock)
Penny Stock
Banking Product
(other than CD)
Equity OTC
Prime Bank Instrument
CD
Futures - Commodity
Promissory Note
Commodity Option
Futures - Financial
Real Estate Security
Debt - Asset Backed
Index Option
Security Futures
Debt - Corporate
Insurance
Security-based Swap
Debt - Government
Investment Contract
Swap
Debt - Municipal
Money Market Fund
Unit Investment Trust
Derivative
Mutual Fund
Viatical Settlement
Other Principal Product Type specify:
����������������������� ������������������������������� �
��
B. �Other Product Types? YES No
������ If "Yes," describe each additional product type:�����
6.�Allegations: Describe the allegations related to this regulatory action.� (The response must fit within the space provided.)
TEACHERS INSURANCE AND ANNUITY ASSOCIATION OF AMERICA ACCEPTED A CONSENT ORDER FOR FAILING TO PROVIDE A TIMELY CYBERSECURITY EVENT NOTIFICATION TO THE MIA IN VIOLATION OF 33-105 A WHICH REQUIRES CARRIERS TO GIVE NOTICE TO THE MIA WITHIN THREE BUSINESS DAYS OF DETERMINING A CYBERSECURITY EVENT HAS OCCURRED.
7. Current Status: �� ������� �
8.���� Pending:� If you checked Item 7 Pending, provide the following information.
A. Date Served: The date that notice or other process was served (MM/DD/YYYY): � Exact ����� � Explanation�
If not exact, provide explanation:�
B. Limitation or Restrictions: Are there any limitations or restrictions currently in effect? YES NO
If the answer is "Yes," provide details:�
9. On Appeal - Administrative or Judicial Review of the Regulatory Action: If you appealed, provide the following information.
A. Name of Regulator or Court Action Appealed To: Provide the name of the US regulator (i.e., the SEC, an SRO, other), federal court, state court or state regulator, or a foreign or international court or regulator to whom you appealed. If brought in a foreign jurisdiction, provide all the information below in English.
B. Location of the Regulator or Judicial Court to Whom You Appealed:
Street Address 1: ��Street Address 2:
Postal Code:
C. Docket/Case Name:
�
D. Docket/Case Number:
�
E. Date Appeal filed (MM/DD/YYYY): Exact ����� � Explanation�
If not exact, provide explanation: �
�
F. Appeal Details (including status):
�
G. Limitation or Restrictions: Are there any limitations or restrictions currently in effect while on appeal? Yes No
If the answer is "Yes," provide details:
�
If you checked Item 7 Final or On Appeal, complete Items 10 through 13. For Pending Actions, skip to Item 13.
10.� A.��� Resolution:� How the action was resolved? (Check all the applicable boxes that reflect the most recent resolution of the matter by a regulator or a court, whether or not any part of the resolution is on appeal. If any part of the resolution is on appeal, identify in Item 10-B which part is currently on appeal.)
Acceptance, Waiver & Consent (AWC)
Dismissed
Stipulation and Consent
Consent
Judgment Rendered
Withdrawn
Decision
Order
Other: (requires explanation)
Decision & Order of Offer of Settlement
Settled
�
Appealed
�������������� Affirmed
�������������� Vacated Nunc Pro Tunc / ab initio
�������������� Vacated & Returned For Further Action
�������������� Vacated / Final
�������������� Other: (requires explanation)
B.��� Explanation:� (If more than one box in Item 10-A. is checked or Item 10-A. otherwise does not adequately summarize the type of resolution, provide an explanation. For example, if you appealed all or part of a resolution by the regulator or court, indicate what is being appealed.)
TIAA WAS FINED $1,250.�
C. Order: If Order is checked above in Item 10-A., does the order constitute a final order based on violations of any laws or regulations that prohibit fraudulent, or deceptive conduct? Yes No
TIAA WAS FINED $1,250.�
11.� Resolution Date (MM/DD/YYYY): � Exact ���� � � Explanation�
(For a resolution that is being appealed in part, the date to be provided should be the date on which the regulator (reviewing a decision by an SRO or an Administrative Law Judge) or a court provided its resolution.)
If not exact, provide explanation: �
�
12.� Resolution Detail
A. Sanctions: Were any Sanctions Ordered?� Yes �No, none were ordered .
B.��� If "Yes," check each individual sanction below that was ordered:���
Bar (Permanent)
Disgorgement*
Restitution*
Bar (Temporary / Time Limited)
Expulsion
Requalification
Cease and Desist
Injunction
Revocation
Censure
Prohibition
Suspension
Civil and Administrative Penalty(ies)/Monetary Fine(s)*
Reprimand
Undertaking
• Monetary Sanction(s): Were one or more sanctions ordered that require a monetary payment? � Yes No
�If "Yes," enter the total amount ordered:�$
� Other Sanctions Ordered (list each such additional sanction):
C.��� Sanction Detail (Provide the details of the following specific sanctions, if checked above in Item 12-B.)
� (1)� Barred, Enjoined, or Suspended: � If you checked one or more of these sanctions in Item 12-B. above, check the applicable box(es) below and provide the corresponding information.
������� (a)� Barred �
If the applicant or an associated person received in the above action one or more bars from registration capacities, associations, and/or other activities, and the terms specify different time periods, report each in a separate entry.
������� ������(i) Duration (length of time):
������� ��������� Permanent (not limited by length of time)
������� ��������� Temporary / Time Limited. Specify the: Days Months
������� ���������������� ���������������� ���������������� ���������������� �������������� Years
������� ������(ii) Start Date (MM/DD/YYYY): � Exact ����� � Explanation�
������� ���������If not exact, provide explanation:
���
�
������� ������(iii) End Date (MM/DD/YYYY): � Exact ����� � Explanation�
������� ���������If not exact, provide explanation:
��
�
������� ������(iv) Description: Provide remaining details and the registration capacities affected
������� ����������� (General Securities Principal, Financial Operations Principal, etc.). If none, enter "None":
�
������� (b)� Enjoined
If the applicant or an associated person received in the above action one or more injunctions from registration capacities, associations, and/or other activities, and the terms specify different time periods, report each in a separate entry.
������� ������(i) Duration (length of time):
������� ��������� Permanent (not limited by length of time)
������� ��������� Temporary / Time Limited. Specify the: Days Months
������� ���������������� ���������������� ���������������� ���������������� �������������� Years
������� ������(ii) Start Date (MM/DD/YYYY): � Exact ����� � Explanation�
������� ���������If not exact, provide explanation:
�
������� ������(iii) End Date (MM/DD/YYYY): � Exact ����� � Explanation�
������� ���������If not exact, provide explanation:
�
������� ������(iv) Description: Provide remaining details and the registration capacities affected
������� ����������� (General Securities Principal, Financial Operations Principal, etc.). If none, enter "None":
�
������� (c)� Suspended
If the applicant or an associated person received in the above one or more suspensions from registration capacities, associations, and/or other activities, and the terms specify different time periods, report each in a separate entry.
������� ������(i) Duration (length of time):
������� ��������� Permanent (not limited by length of time)
������� ��������� Temporary / Time Limited. Specify the: Days Months
������� ���������������� ���������������� ���������������� ���������������� �������������� Years
������� ������(ii) Start Date (MM/DD/YYYY): � Exact ����� � Explanation�
������� ���������If not exact, provide explanation:
�
������� ������(iii) End Date (MM/DD/YYYY): � Exact ����� � Explanation�
������� ���������If not exact, provide explanation:
�
�
������� ������(iv) Description: Provide remaining details and the registration capacities affected
������� ����������� (General Securities Principal, Financial Operations Principal, etc.). If none, enter "None":
�
�
(2)�� Requalification: �� Was requalification by examination, retraining, or other process a condition of a sanction?
������� ���� ������� ���� ������� ���� � YES � NO
If the applicant or an associated person received in the above action one or more requalifications in connection with registration capacities, associations, and/or other activities, and the terms specify different time periods, report each in a separate entry.
If "Yes," provide:
� (a) Length of time given to requalify, retrain, or complete other process:
������� ���������� No time period is specified.
������� ��������� Time period is specified: Days Months
������� ���������������� ���������������� �������� ���� ���������� Years
(b) Type of examination, retraining, or other process required:
�
�(c)� Was the condition satisfied?��� � � YES NO
������ �����(1)�� If "Yes," provide the date (MM/DD/YYYY)�
������ �����(2)�� If "No," explain the circumstances:�
�
(3)�� Monetary Sanction(s):� If you indicated in Item 12-B above that one or more monetary sanctions were ordered, provide the following information.
(a)�Total Amount Ordered:�
(b)�Portion levied against:
Applicant
��(i) Amount Ordered:� ���������������� $ �
��(ii) Was any portion waived?�� Yes No ������������ If "Yes," how much?����� $ �
��(iii) Final Amount:������������������������ $ ��
��(iv) Was final amount paid in full?���� Yes No
�� �� If "Yes," date paid in full (MM/DD/YYYY) ��
���� If "No," explain the circumstances:
����
Associated Person
��(i) Amount Ordered:� �
��(ii) Was any portion waived?�� Yes No If "Yes," how much?�� �
��(iii) Final Amount:�� ��
��(iv) Was final amount paid in full?���� Yes No
�� �� If "Yes," date paid in full (MM/DD/YYYY) ��
���� If "No," explain the circumstances:
�
13.� Summary of Circumstances:
Use this space to provide a brief summary of the circumstances leading to the action, allegation(s), finding(s) and disposition(s), if any. Include any relevant information on the current action status, and on any terms, conditions, and dates not already provided above, and any other relevant information. The information must fit within the space provided.
TIAA WAS FINED $1,250.�
REGULATORY ACTION DRP PART 2
1.���� Regulatory Action was initiated by: ��� (Select only one. A separate Regulatory Action DRP is required for each such regulator or other authority.)
SEC
State
Foreign Financial Regulatory Authority
CFTC
SRO
Other: (specify)
Federal Banking Agency
National Credit Union Administration
Other Federal Authority
B. Full name of the individual regulator (if not fully identified in Item 1-A.) or other authority that initiated the action. For a foreign financial regulatory authority, please provide the full name in English.
Maryland Insurance Administration
2. Sanction(s) Sought: Check all that apply.
Bar (Permanent)
Disgorgement
Restitution
Bar (Temporary / Time Limited)
Expulsion
Requalification
Cease and Desist
Injunction
Revocation
Censure
Prohibition
Suspension
Civil/Administrative Penalty(ies)/Fine(s)
Reprimand
Undertaking
Other Sanction(s) Sought (list each such additional sanction):
Consent Order
3. Date Initiated (MM/DD/YYYY): � �� Exact Explanation � ����� ��
If not exact, provide explanation:�
�
4. Regulatory Action was brought in(if brought in a foreign jurisdiction, provide all the information below in English):
A. Name of the Administrative Proceeding, Commission/Agency Hearing, or other regulatory proceeding or forum:
MARYLAND INSURANCE ADMINISTRATION ��
B. Location of the Proceeding / Hearing:
Street Address 1
Street Address 2
City or County
Postal Code
C. Docket/Case Number:
MCLH-2-2024-I AND MCLH-3-2024-I �
5. A.�Principal Product Type (check appropriate item):
No Product
Annuity - Charitable
Direct Investment - DPP & LP Interest
Oil & Gas
Annuity - Fixed
Equipment Leasing
Options
Annuity - Variable
Equity Listed (Common & Preferred Stock)
Penny Stock
Banking Product
(other than CD)
Equity OTC
Prime Bank Instrument
CD
Futures - Commodity
Promissory Note
Commodity Option
Futures - Financial
Real Estate Security
Debt - Asset Backed
Index Option
Security Futures
Debt - Corporate
Insurance
Security-based Swap
Debt - Government
Investment Contract
Swap
Debt - Municipal
Money Market Fund
Unit Investment Trust
Derivative
Mutual Fund
Viatical Settlement
Other Principal Product Type specify:
����������������������� ������������������������������� �
��
B. �Other Product Types? YES No
������ If "Yes," describe each additional product type:�����
6.�Allegations: Describe the allegations related to this regulatory action.� (The response must fit within the space provided.)
TEACHERS INSURANCE AND ANNUITY ASSOCIATION OF AMERICA ("TIAA") ACCEPTED A CONSENT ORDER FOR FAILING TO PROVIDE A TIMELY CYBERSECURITY EVENT NOTIFICATION TO THE MIA IN VIOLATION OF 33-105(A) WHICH REQUIRES CARRIERS TO GIVE NOTICE TO THE MIA WITHIN THREE BUSINESS DAYS OF DETERMINING A CYBERSECURITY EVENT HAS OCCURRED.
7. Current Status: �� ������� �
8.���� Pending:� If you checked Item 7 Pending, provide the following information.
A. Date Served: The date that notice or other process was served (MM/DD/YYYY): � Exact ����� � Explanation�
If not exact, provide explanation:�
B. Limitation or Restrictions: Are there any limitations or restrictions currently in effect? YES NO
If the answer is "Yes," provide details:�
9. On Appeal - Administrative or Judicial Review of the Regulatory Action: If you appealed, provide the following information.
A. Name of Regulator or Court Action Appealed To: Provide the name of the US regulator (i.e., the SEC, an SRO, other), federal court, state court or state regulator, or a foreign or international court or regulator to whom you appealed. If brought in a foreign jurisdiction, provide all the information below in English.
B. Location of the Regulator or Judicial Court to Whom You Appealed:
Street Address 1: ��Street Address 2:
Postal Code:
C. Docket/Case Name:
�
D. Docket/Case Number:
�
E. Date Appeal filed (MM/DD/YYYY): Exact ����� � Explanation�
If not exact, provide explanation: �
�
F. Appeal Details (including status):
�
G. Limitation or Restrictions: Are there any limitations or restrictions currently in effect while on appeal? Yes No
If the answer is "Yes," provide details:
�
If you checked Item 7 Final or On Appeal, complete Items 10 through 13. For Pending Actions, skip to Item 13.
10.� A.��� Resolution:� How the action was resolved? (Check all the applicable boxes that reflect the most recent resolution of the matter by a regulator or a court, whether or not any part of the resolution is on appeal. If any part of the resolution is on appeal, identify in Item 10-B which part is currently on appeal.)
Acceptance, Waiver & Consent (AWC)
Dismissed
Stipulation and Consent
Consent
Judgment Rendered
Withdrawn
Decision
Order
Other: (requires explanation)
Decision & Order of Offer of Settlement
Settled
�
Appealed
�������������� Affirmed
�������������� Vacated Nunc Pro Tunc / ab initio
�������������� Vacated & Returned For Further Action
�������������� Vacated / Final
�������������� Other: (requires explanation)
B.��� Explanation:� (If more than one box in Item 10-A. is checked or Item 10-A. otherwise does not adequately summarize the type of resolution, provide an explanation. For example, if you appealed all or part of a resolution by the regulator or court, indicate what is being appealed.)
�
C. Order: If Order is checked above in Item 10-A., does the order constitute a final order based on violations of any laws or regulations that prohibit fraudulent, or deceptive conduct? Yes No
�
11.� Resolution Date (MM/DD/YYYY): � Exact ���� � � Explanation�
(For a resolution that is being appealed in part, the date to be provided should be the date on which the regulator (reviewing a decision by an SRO or an Administrative Law Judge) or a court provided its resolution.)
If not exact, provide explanation: �
�
12.� Resolution Detail
A. Sanctions: Were any Sanctions Ordered?� Yes �No, none were ordered .
B.��� If "Yes," check each individual sanction below that was ordered:���
Bar (Permanent)
Disgorgement*
Restitution*
Bar (Temporary / Time Limited)
Expulsion
Requalification
Cease and Desist
Injunction
Revocation
Censure
Prohibition
Suspension
Civil and Administrative Penalty(ies)/Monetary Fine(s)*
Reprimand
Undertaking
• Monetary Sanction(s): Were one or more sanctions ordered that require a monetary payment? � Yes No
�If "Yes," enter the total amount ordered:�$
� Other Sanctions Ordered (list each such additional sanction):
C.��� Sanction Detail (Provide the details of the following specific sanctions, if checked above in Item 12-B.)
� (1)� Barred, Enjoined, or Suspended: � If you checked one or more of these sanctions in Item 12-B. above, check the applicable box(es) below and provide the corresponding information.
������� (a)� Barred �
If the applicant or an associated person received in the above action one or more bars from registration capacities, associations, and/or other activities, and the terms specify different time periods, report each in a separate entry.
������� ������(i) Duration (length of time):
������� ��������� Permanent (not limited by length of time)
������� ��������� Temporary / Time Limited. Specify the: Days Months
������� ���������������� ���������������� ���������������� ���������������� �������������� Years
������� ������(ii) Start Date (MM/DD/YYYY): � Exact ����� � Explanation�
������� ���������If not exact, provide explanation:
���
�
������� ������(iii) End Date (MM/DD/YYYY): � Exact ����� � Explanation�
������� ���������If not exact, provide explanation:
��
�
������� ������(iv) Description: Provide remaining details and the registration capacities affected
������� ����������� (General Securities Principal, Financial Operations Principal, etc.). If none, enter "None":
�
������� (b)� Enjoined
If the applicant or an associated person received in the above action one or more injunctions from registration capacities, associations, and/or other activities, and the terms specify different time periods, report each in a separate entry.
������� ������(i) Duration (length of time):
������� ��������� Permanent (not limited by length of time)
������� ��������� Temporary / Time Limited. Specify the: Days Months
������� ���������������� ���������������� ���������������� ���������������� �������������� Years
������� ������(ii) Start Date (MM/DD/YYYY): � Exact ����� � Explanation�
������� ���������If not exact, provide explanation:
�
������� ������(iii) End Date (MM/DD/YYYY): � Exact ����� � Explanation�
������� ���������If not exact, provide explanation:
�
������� ������(iv) Description: Provide remaining details and the registration capacities affected
������� ����������� (General Securities Principal, Financial Operations Principal, etc.). If none, enter "None":
�
������� (c)� Suspended
If the applicant or an associated person received in the above one or more suspensions from registration capacities, associations, and/or other activities, and the terms specify different time periods, report each in a separate entry.
������� ������(i) Duration (length of time):
������� ��������� Permanent (not limited by length of time)
������� ��������� Temporary / Time Limited. Specify the: Days Months
������� ���������������� ���������������� ���������������� ���������������� �������������� Years
������� ������(ii) Start Date (MM/DD/YYYY): � Exact ����� � Explanation�
������� ���������If not exact, provide explanation:
�
������� ������(iii) End Date (MM/DD/YYYY): � Exact ����� � Explanation�
������� ���������If not exact, provide explanation:
�
�
������� ������(iv) Description: Provide remaining details and the registration capacities affected
������� ����������� (General Securities Principal, Financial Operations Principal, etc.). If none, enter "None":
�
�
(2)�� Requalification: �� Was requalification by examination, retraining, or other process a condition of a sanction?
������� ���� ������� ���� ������� ���� � YES � NO
If the applicant or an associated person received in the above action one or more requalifications in connection with registration capacities, associations, and/or other activities, and the terms specify different time periods, report each in a separate entry.
If "Yes," provide:
� (a) Length of time given to requalify, retrain, or complete other process:
������� ���������� No time period is specified.
������� ��������� Time period is specified: Days Months
������� ���������������� ���������������� �������� ���� ���������� Years
(b) Type of examination, retraining, or other process required:
�
�(c)� Was the condition satisfied?��� � � YES NO
������ �����(1)�� If "Yes," provide the date (MM/DD/YYYY)�
������ �����(2)�� If "No," explain the circumstances:�
�
(3)�� Monetary Sanction(s):� If you indicated in Item 12-B above that one or more monetary sanctions were ordered, provide the following information.
(a)�Total Amount Ordered:�
(b)�Portion levied against:
Applicant
��(i) Amount Ordered:� ���������������� $ �
��(ii) Was any portion waived?�� Yes No ������������ If "Yes," how much?����� $ �
��(iii) Final Amount:������������������������ $ ��
��(iv) Was final amount paid in full?���� Yes No
�� �� If "Yes," date paid in full (MM/DD/YYYY) ��
���� If "No," explain the circumstances:
����
Associated Person
��(i) Amount Ordered:� �
��(ii) Was any portion waived?�� Yes No If "Yes," how much?�� �
��(iii) Final Amount:�� ��
��(iv) Was final amount paid in full?���� Yes No
�� �� If "Yes," date paid in full (MM/DD/YYYY) ��
���� If "No," explain the circumstances:
�
13.� Summary of Circumstances:
Use this space to provide a brief summary of the circumstances leading to the action, allegation(s), finding(s) and disposition(s), if any. Include any relevant information on the current action status, and on any terms, conditions, and dates not already provided above, and any other relevant information. The information must fit within the space provided.
TIAA WAS FINED $1,250.�