17 CFR Part 247 - REGULATION R—EXEMPTIONS AND DEFINITIONS RELATED TO THE EXCEPTIONS FOR BANKS FROM THE DEFINITION OF BROKER
- § 247.100 — Definition.
- § 247.700 — Defined terms relating to the networking exception from the definition of “broker.”
- § 247.701 — Exemption from the definition of “broker” for certain institutional referrals.
- § 247.721 — Defined terms relating to the trust and fiduciary activities exception from the definition of “broker.”
- § 247.722 — Exemption allowing banks to calculate trust and fiduciary compensation on a bank-wide basis.
- § 247.723 — Exemptions for special accounts, transferred accounts, foreign branches and a de minimis number of accounts.
- § 247.740 — Defined terms relating to the sweep accounts exception from the definition of “broker.”
- § 247.741 — Exemption for banks effecting transactions in money market funds.
- § 247.760 — Exemption from definition of “broker” for banks accepting orders to effect transactions in securities from or on behalf of custody accounts.
- § 247.771 — Exemption from the definition of “broker” for banks effecting transactions in securities issued pursuant to Regulation S.
- § 247.772 — Exemption from the definition of “broker” for banks engaging in securities lending transactions.
- § 247.775 — Exemption from the definition of “broker” for banks effecting certain excepted or exempted transactions in investment company securities.
- § 247.776 — Exemption from the definition of “broker” for banks effecting certain excepted or exempted transactions in a company's securities for its employee benefit plans.
- § 247.780 — Exemption for banks from liability under section 29 of the Securities Exchange Act of 1934.
- § 247.781 — Exemption from the definition of “broker” for banks for a limited period of time.
Authority:
15 U.S.C. 78c, 78
o, 78q, 78w, and 78mm.
Source:
72 FR 56554, Oct. 3, 2007, unless otherwise noted.
Title 17 published on 2012-04-01
no entries appear in the Federal Register after this date.
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