17 CFR Part 260 - GENERAL RULES AND REGULATIONS, TRUST INDENTURE ACT OF 1939
- Terms Used in the Rules and Regulations
- Office of the Commission
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Rules Under Section 303
- § 260.3(4)-1 — Definition of “commission from an underwriter or dealer not in excess of the usual and customary distributors' or sellers' commissions” in section 303(4), for certain transactions.
- § 260.3(4)-2 — Definition of “distribution” in section 303(4) for certain transactions.
- § 260.3(4)-3 — Definitions of “participates” and “participation” as used in section 303(4), in relation to certain transactions.
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Rules Under Section 304
- § 260.4a-1 — Exempted securities under section 304(a)(8).
- § 260.4a-2 — Exempted securities under section 304(d).
- § 260.4a-3 — Exempted securities under section 304(a)(9).
- § 260.4c-1 — Form for applications under section 304(c).
- § 260.4c-2 — General requirements as to form and content of applications.
- § 260.4c-3 — Number of copies; filing; signatures; binding.
- § 260.4c-4 — Applications under section 304(c)(1).
- § 260.4c-5 — Applications under section 304(c)(2).
- § 260.4d-7 — Application for exemption from one or more provisions of the Act.
- § 260.4d-8 — Content.
- § 260.4d-9 — Exemption for Canadian Trust Indentures from Specified Provisions of the Act.
- § 260.4d-10 — Exemption for securities issued pursuant to § 230.802 of this chapter.
- § 260.4d-11T — Temporary exemption for eligible credit default swaps offered and sold in reliance on Securities Act of 1933 Rule 239T (§ 230.239T).
- § 260.4d-12 — Exemption for security-based swaps offered and sold in reliance on Securities Act of 1933 Rule 240 (§ 230.240).
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Rules Under Section 305
- § 260.5a-1 — Forms for statements of eligibility and qualification.
- § 260.5a-2 — General requirements as to form and content of statements of eligibility and qualification.
- § 260.5a-3 — Number of copies; filing; signatures; binding.
- § 260.5b-1 — Application pursuant to section 305(b)(2) of the Trust Indenture Act for determining eligibility of a person designated as trustee for offerings on a delayed basis.
- § 260.5b-2 — General requirements as to form and content of applications.
- § 260.5b-3 — Number of copies—Filing—Signatures.
- Rules Under Section 307
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Applications for Qualification of Indentures
- § 260.7a-1 — Form for application.
- § 260.7a-2 — Powers of agent for service named in application.
- § 260.7a-3 — Number of copies; filing; signatures; binding.
- § 260.7a-4 — Calculation of time.
- § 260.7a-5 — Filing of amendments; number of copies.
- § 260.7a-6 — Telegraphic delaying amendments.
- § 260.7a-7 — Effective date of amendment filed under section 8(a) of the Securities Act with the consent of the Commission.
- § 260.7a-8 — Effective date of amendment filed under section 8(a) of the Securities Act pursuant to order of Commission.
- § 260.7a-9 — Delaying amendments.
- General Requirements as to Form and Content of Applications, Statements and Reports
- General
- Formal Requirements
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General Requirements as to Contents
- § 260.7a-21 — Clarity.
- § 260.7a-22 — Information unknown or not reasonably available.
- § 260.7a-23 — Statements required where item is inapplicable or where answer is “none”.
- § 260.7a-24 — Words relating to periods of time in the past.
- § 260.7a-25 — Words relating to the future.
- § 260.7a-26 — Disclaimer of control.
- § 260.7a-27 — Title of securities.
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Incorporation by Reference
- § 260.7a-28 — Incorporation of matter in application, statement or report, other than exhibits, as answer to item.
- § 260.7a-29 — Incorporation of exhibits as such.
- § 260.7a-30 — Identification of material incorporated; form of incorporation.
- § 260.7a-31 — Incorporation by reference of contested material.
- § 260.7a-32 — Incorporation by reference rendering document incomplete, unclear, or confusing.
- Exhibits
- Amendments
- Inspection and Publication of Applications, Statements and Reports
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Rule Under Section 310
- § 260.10a-1 — Application for determining eligibility of a foreign person to act as sole trustee pursuant to section 310(a)(1) of the Act.
- § 260.10a-2 — General requirements as to form and content of applications.
- § 260.10a-3 — Number of copies—Filing—Signatures.
- § 260.10a-4 — Consent of trustee to service of process.
- § 260.10a-5 — Eligibility of Canadian Trustees.
- § 260.10b-1 — Calculation of percentages.
- § 260.10b-2 — Applications under section 310(b)(1)(ii).
- § 260.10b-3 — Applications relative to affiliations between trustees and underwriters.
- § 260.10b-4 — Application for stay of trustee's duty to resign pursuant to section 310(b) of the Act.
- § 260.10b-5 — Content.
- § 260.10b-6 — Notices—Exemptive Application Procedure.
- Rules Under Section 311
- Rules Under Section 314
- Periodic Reports
Title 17 published on 2012-04-01
The following are only the Rules published in the Federal Register after the published date of Title 17.
For a complete list of all Rules, Proposed Rules, and Notices view the Rulemaking tab.
GPO FDSys XML | Text type regulations.gov FR Doc. 2012-8141 RIN 3235-AL16 Release Nos. 33-9308 34-66703 39-2484 File No. S7-22-11 SECURITIES AND EXCHANGE COMMISSION Final rule. Effective Date: The final rules are effective April 16, 2012. 17 CFR Parts 230, 240 and 260 We are adopting exemptions under the Securities Act of 1933, the Securities Exchange Act of 1934, and the Trust Indenture Act of 1939 for security-based swaps issued by certain clearing agencies satisfying certain conditions. The final rules exempt transactions by clearing agencies in these security-based swaps from all provisions of the Securities Act, other than the Section 17(a) anti-fraud provisions, as well as exempt these security-based swaps from Exchange Act registration requirements and from the provisions of the Trust Indenture Act, provided certain conditions are met.
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.
§ 77eee - Securities required to be registered under Securities Act
§ 77ggg - Qualification of indentures covering securities not required to be registered
§ 77nnn - Reports by obligor; evidence of compliance with indenture provisions
§ 77sss - Rules, regulations, and orders
15 USC § -
15 USC § 79 to 79z–6 - Repealed.
15 USC § 80b–3 - Registration of investment advisers
15 USC § 80b–4 - Reports by investment advisers
15 USC § 80b–11 - Rules, regulations, and orders of Commission
Title 17 published on 2012-04-01
The following are ALL rules, proposed rules, and notices (chronologically) published in the Federal Register relating to 17 CFR 260 after this date.
GPO FDSys XML | Text type regulations.gov FR Doc. 2013-02191 RIN 3235-AL17 Release Nos. 33-9383 34-68753 39-2489 File No. S7-26-11 SECURITIES AND EXCHANGE COMMISSION Interim final rule; extension. The amendments are effective February 4, 2013. See Section I of the SUPPLEMENTARY INFORMATION concerning amendment of expiration dates in the interim final rules. 17 CFR Parts 230, 240 and 260 We are adopting amendments to the expiration dates in our interim final rules that provide exemptions under the Securities Act of 1933, the Securities Exchange Act of 1934, and the Trust Indenture Act of 1939 for those security-based swaps that prior to July 16, 2011 were security-based swap agreements and are defined as “securities” under the Securities Act and the Exchange Act as of July 16, 2011 due solely to the provisions of Title VII of the Dodd-Frank Wall Street Reform and Consumer Protection Act. Under the amendments, the expiration dates in the interim final rules will be extended to February 11, 2014.
GPO FDSys XML | Text type regulations.gov FR Doc. 2012-8141 RIN 3235-AL16 Release Nos. 33-9308 34-66703 39-2484 File No. S7-22-11 SECURITIES AND EXCHANGE COMMISSION Final rule. Effective Date: The final rules are effective April 16, 2012. 17 CFR Parts 230, 240 and 260 We are adopting exemptions under the Securities Act of 1933, the Securities Exchange Act of 1934, and the Trust Indenture Act of 1939 for security-based swaps issued by certain clearing agencies satisfying certain conditions. The final rules exempt transactions by clearing agencies in these security-based swaps from all provisions of the Securities Act, other than the Section 17(a) anti-fraud provisions, as well as exempt these security-based swaps from Exchange Act registration requirements and from the provisions of the Trust Indenture Act, provided certain conditions are met.