12 CFR 9 - FIDUCIARY ACTIVITIES OF NATIONAL BANKS
- — Regulations
- § 9.1 — Authority, purpose, and scope.
- § 9.2 — Definitions.
- § 9.3 — Approval requirements.
- § 9.4 — Administration of fiduciary powers.
- § 9.5 — Policies and procedures.
- § 9.6 — Review of fiduciary accounts.
- § 9.7 — Multi-state fiduciary operations.
- § 9.8 — Recordkeeping.
- § 9.9 — Audit of fiduciary activities.
- § 9.10 — Fiduciary funds awaiting investment or distribution.
- § 9.11 — Investment of fiduciary funds.
- § 9.12 — Self-dealing and conflicts of interest.
- § 9.13 — Custody of fiduciary assets.
- § 9.14 — Deposit of securities with state authorities.
- § 9.15 — Fiduciary compensation.
- § 9.16 — Receivership or voluntary liquidation of bank.
- § 9.17 — Surrender or revocation of fiduciary powers.
- § 9.18 — Collective investment funds.
- § 9.20 — Transfer agents.
- — Interpretations
- § 9.100 — Acting as indenture trustee and creditor.
- § 9.101 — Providing investment advice for a fee.
Source: 61 FR 68554, Dec. 30, 1996, unless otherwise noted.
Title 12 published on 2011-01-01
no entries appear in the Federal Register after this date.
This is a list of United States Code sections, Statutes at Large, Public Laws, and Presidential Documents, which provide rulemaking authority for this CFR Part.
This list is taken from the Parallel Table of Authorities and Rules provided by GPO [Government Printing Office].
It is not guaranteed to be accurate or up-to-date, though we do refresh the database weekly. More limitations on accuracy are described at the GPO site.
The following are ALL rules, proposed rules, and notices (chronologically) published in the Federal Register relating to 12 CFR 9



