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ITED STATES OF AMERICA

GENERAL RULES AND REGULATIONS UNDER THE
SECURITIES EXCHANGE ACT OF 1934

(Cited as 17 CFR 240.—)

CONTENTS

Subject

RULES OF GENERAL APPLICATION

1. References to rules and regulations and to the Act, or to portions thereof.

2. Business hours of the Commission..........

3. Filing of material with the Commission..

1. Nondisclosure of information obtained in the course of examinations and investigations. 5. Reference to rule by obsolete designation..........

3. Disclosure detrimental to the national security....

7. Consent to service of process by non-resident investment advisers.........

MISCELLANEOUS EXEMPTIONS

2. Exemption of certain securities, the income on which is substantially guaranteed by States or political subdivisions thereof...

3. Exemption from sections 14 (a) and 16 of securities for which filing of applications on form 18, 19, 20, or 21 is authorized..

1. Definition of "listed".

2. Definition of "officer".

3. Definition of "short sale".

DEFINITIONS

REGISTRATION AND EXEMPTION OF EXCHANGES

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1. Form of application and amendments.....

2. Annual amendments to registration statement or exemption statements of exchanges.-3. Supplemental material...

EXEMPTION OF CERTAIN SECURITIES FROM THE OPERATION OF SECTION 7 (c) (2)

1. Exemption from section 7 (c) (2) of certain securities exempted from registration or admitted to trading on exchanges exempted from registration___

HYPOTHECATION OF CUSTOMERS' SECURITIES

1. Hypothecation of customers' securities____

SHORT SALES

1. Short sales.___.

2. Requirements for covering purchases...

MANIPULATIVE and DECEPTIVE DEVICES AND CONTRIVANCES

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1. Prohibition of use of manipulative or deceptive devices or contrivances with respect to certain securities exempted from registration____

2. Solicitation of purchases on an exchange to facilitate a distribution of securities..

3. Employment of manipulative and deceptive devices...

5. Employment of manipulative and deceptive devices.

3. Prohibitions against trading by persons interested in a distribution___

7. Stabilizing to facilitate a distribution..

3. Distributions through rights..

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Rule

EXEMPTION OF CERTAIN SECURITIES FROM SECTION 11 (d) (1)

11d1-1. Exemption of certain securities from section 11 (d) (1)............

SECURITIES EXEMPTED FROM Registration

128-1. Temporary exemption from section 12 (a) of certain securities of banks... 12a-2. Temporary exemption from section 12 (a) of certain securities secured by property which, a leasehold interest in which, is owned by a person not the original issuer of such securityhibition of use of manipulative or deceptive devices or contrivances with respect thereto.........│ 12a-3. Temporary exemption from section 12 (a) of certain securities of issuers in bankruptcy or receive ship or in process of reorganization-Prohibition of use of manipulative or deceptive devies contrivances with respect thereto.__

12a-4. Exemption of certain warrants from section 12 (a)..........

128-5. Temporary exemption of substituted or additional securities___

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Article 2. Formal Requirements

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12b-10. Requirements as to proper form..
12b-11. Number of copies-signatures-binding---.
12b-12. Requirements as to paper, printing, and language..
12b-13. Preparation of application or report..

12b-14. Riders-inserts..

12b-15. Amendments...

Article 3. General Requirements as to Contents

12b-20. Additional information_____

12b-21. Information unknown or not available...

12b-22. Disclaimer of control____.

12b-23. Incorporation by reference...

12b-24. Summaries or outlines of documents..

12b-25. Extension of time for furnishing information..........

Article 4. Exhibits

12b-30. Additional exhibits..

12b-31. Omission of substantially identical documents...
12b-32. Incorporation of exhibits by reference___
12b-33. Annual reports to other Federal agencies..

Article 5. Special Provisions

12b-35. Use of registration statement under Securities Act of 1933.

12b-36. Use of financial statements filed under other Acts..

REGULATION 12D1. EFFECTIVENESS OF REGISTRATION-EXCHANGE CERTIFICATION

12d1-1. Registration effective as to class or series...

12d1-2. Acceleration of effectiveness of registration.

12d1-3. Requirements as to certification_-__

12d1-4. Date of receipt of certification by Commission....

12d1-5. Operation of certification on subsequent amendments.. 12d1-6. Withdrawal of certification...

SUSPENSION OF TRADING-WITHDRAWAL-Striking From Listing AND REGISTRATION

Suspension of trading, withdrawal, and striking from listing and registration.............
Removal from listing and registration of maturing securities and securities redeemed or retired...

UNLISTED TRADING

Applications for permission to extend unlisted trading privileges..
Changes in securities admitted to unlisted trading privileges___
Termination or suspension of unlisted trading privileges..........

Exemption of securities admitted to unlisted trading privileges from sections 13, 14, and 16..
Differentiation on ticker between transactions in listed and unlisted securities...

Continuance of unlisted trading privileges on merged exchanges____

REGULATION 13A. REPORTS OF ISSUERS OF LISTED SECURITIES

Article 1. Annual Report

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SCHEDULE 14B. INFORMATION TO BE Included in Statements Filed by or on Behalf of a Participat THAN THE ISSUER) IN A PROXY SOLICITATION PURSUANT TO RULE 148-11(c)

Rule

Item 1. Issuer...............

2. Identity and background.

3. Interests in securities of the issuer.

4. Further matters....

5. Signature.............

EXEMPTION OF CERTAIN SECURITIES FROM SECTION 15 (a)

15a-1. Exemption of individual notes or bonds secured by lien on real estate from section 15 (a). 15a-2. Exemption of certain securities of cooperative apartment houses from section 15 (a). 15a-3. Exemption of specialist's block purchases and sales...

REGISTRATION OF BROKERS AND DEALERS

15b-1. Application for registration of broker or dealer...

15b-2. Supplements and amendments to applications..

15b-3. Adoption of application filed by predecessor.

15b-4. Registration of successor to registered broker or dealer.......

15b-5. Registration of fiduciaries...

15b-6. Withdrawal from registration..

15b-7. Consent to service of process to be furnished by nonresident brokers or dealers and by nonresident gener partners or managing agents of brokers or dealers.....

15b-8. Statement of financial condition to be filed with application for registration as a broker or dealer.... 15b-9. Proceedings under sections 15(b), 15A(/) (2) and 19(a)(3) of the of the Act...

15c1-1. Definitions..

RULES RELATING TO OVER-THE-COUNTER MARKETS

1501-2. Fraud and misrepresentation..

15c1-3. Misrepresentation by brokers and dealers as to registration___

15c1-4. Confirmation of transactions....

15c1-5. Disclosure of control__

15c1-6. Disclosure of interest in distributions...

15c1. 7. Discretionary accounts.

15c1-8. Sales at the market...

15c1-9. Use of pro forma balance sheets....

15c2-1. Hypothecation of customers' securities.__

15c2-2. Prohibition of trading during suspension of trading on a national securities exchange........ 15c2-3. Prohibiting trading in German securities unless validated.......

15c2-4. Transmission or maintenance of payments received in connection with underwritings..
15c3-1. Ratio of aggregate indebtedness to net capital__---

REGULATION 15D. REPORTS OF REGISTRANTS UNDER THE SECURITIES ACT OF 1933
Article 1. Annual Reports

15d-1. Requirements of annual reports...

15d-2. Special financial report...

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15aa-1. Registration of a national or an affiliated securities association.

15ab-1. Relief from statutory disqualifications....

15ag-1. Application pursuant to section 15A (g) of the Act for review of disciplinary action or denial of membert

by registered securities association..........

15aj-1. Amendments and supplements to registration statements of securities associations....... 15a12-1. Proceedings under section 15A (l) (2) of the Act..---

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