12 CFR Subpart C - Subpart C—Bank Securities and Securities-Related Activities
- § 208.30 Authority, purpose, and scope.
- § 208.31 State member banks as transfer agents.
- § 208.32 Notice of disciplinary sanctions imposed by registered clearing agency.
- § 208.33 Application for stay or review of disciplinary sanctions imposed by registered clearing agency.
- § 208.34 Recordkeeping and confirmation of certain securities transactions effected by State member banks.
- § 208.35 Qualification requirements for transactions in certain securities. [Reserved]
- § 208.36 Reporting requirements for State member banks subject to the Securities Exchange Act of 1934.
- § 208.37 Government securities sales practices.
Source:
63 FR 37646, July 13, 1998, unless otherwise noted.