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Securities Underwriting and Dealing Subsidiaries

A broker-dealer authorized to engage in securities underwriting, dealing, or market-making may, under certain circumstances, be acquired by a bank holding company, by a foreign bank subject to the Bank Holding Company Act, or by a state member bank. The resulting subsidiaries and the institutions owning them are listed here under the following categories:

Section 20 subsidiaries
Section 4(k)(4)(E) securities subsidiaries
Financial subsidiaries of state member banks

Here is a brief description of the circumstances under which an institution may acquire a securities underwriting and dealing subsidiary.

Section 20 Subsidiaries
The Board may, on a case-by-case basis, grant prior approval to a bank holding company or a foreign bank to engage to a limited extent through a so-called section 20 subsidiary in underwriting and dealing in securities that a member bank may not underwrite or deal in directly (bank-ineligible securities).  Such a subsidiary is called a section 20 subsidiary in reference to a repealed section of the Glass-Steagall Act that limited affiliations between certain securities companies and member banks.  A section 20 subsidiary is subject to eight prudential limitations or operating standards designed to address certain safety and soundness concerns.  A section 20 subsidiary is also limited to deriving no more than 25 percent of its gross revenue from underwriting or dealing in bank-ineligible securities.  A section 20 subsidiary may be limited by the terms of its Board approval in the types of securities that it may underwrite or deal in.  No section 20 subsidiary may underwrite or deal in shares of an open-end investment company or mutual fund.

Section 4(k)(4)(E) Securities Subsidiaries
A bank holding company or a foreign bank that elects to become or be treated as a financial holding company pursuant to provisions of the Gramm-Leach-Bliley Act that amended section 4(k)(4)(E) of the Bank Holding Company Act, may engage in securities underwriting, dealing, or market-making activities. The financial holding company must notify the Board within thirty days after commencing these activities.  The Board has adopted an interim rule subjecting these activities to two of the section 20 operating standards.

Financial Subsidiaries of State Member Banks
A state member bank that qualifies to control a financial subsidiary under provisions of the Gramm-Leach-Bliley Act may engage through the subsidiary in securities underwriting, dealing, or market-making activities fifteen days after providing prior notice to the Board.


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Section 20 Subsidiaries
As of March 31, 2008

Section 20 subsidiary Parent organization FR District Date of
initial approval
Banca IMI Securities Corp. Intesa Sanpaolo S.P.A. New York 2/1999
BBVA Securities, Inc. Banco Bilbao Vizcaya Argentaria, S.A. New York 3/1998
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Section 4(k)(4)(E) Securities Subsidiaries
As of March 31, 2008

Section 4(k)(4)(E) securities subsidiary Parent organization FR District
ABN AMRO, Inc. Royal Bank of Scotland Group PLC, The Boston
ABN AMRO Rothschild, LLC Royal Bank of Scotland Group PLC, The Boston
ANZ Securities, Inc. Australia and New Zealand Banking Group Limited New York
Banc of America Securities, LLC Bank of America Corp. Richmond
Barclays Capital, Inc. Barclays PLC New York
Berry-Shino Securities, Inc. Peotone Bancorp, Inc. Chicago
BMO Capital Markets Corp. Bank of Montreal Chicago
BNP Paribas Investment Services, LLC BNP Paribas New York
BNP Paribas Securities Corp. BNP Paribas New York
BNY Capital Markets, Inc. Bank of New York Mellon Corp., The New York
BOSC, Inc. BOK Financial Corp. Kansas City
Brooke Securities, Inc. Crédit Agricole S.A. New York
Calyon Securities (USA), Inc. Crédit Agricole S.A. New York
Capital One Southcoast, Inc. Capital One Financial Corp. Richmond
CIBC World Markets Corp. Canadian Imperial Bank of Commerce New York
Citigroup Global Markets, Inc. Citigroup, Inc. New York
Commerzbank Capital Markets Corp. Commerzbank Aktiengesellschaft New York
Conservative Financial Services, Inc. First State Bancshares, Inc. St. Louis
Credit Suisse Securities (USA), LLC Credit Suisse Group New York
Crews and Associates, Inc. First Security Bancorp St. Louis
Deutsche Bank Securities, Inc. Deutsche Bank Aktiengesellschaft New York
DnB NOR Nor Markets, Inc. DnB NOR ASA New York
Dresdner Kleinwort Securities, LLC Allianz SE New York
Duff & Phelps Securities, LLC National Bank of Canada New York
DZ Financial Markets, LLC DZ Bank AG New York
FBT Investments, Inc. First Trust Corporation Atlanta
First National Capital Markets, Inc. Lauritzen Corp. Kansas City
Fortis Securities, LLC Fortis N.V. New York
Greenwich Capital Markets, Inc. Royal Bank of Scotland Group PLC, The Boston
H.D. Vest Investment Securities, Inc. Wells Fargo & Company San Francisco
HSBC Securities (USA), Inc. HSBC Holdings PLC New York
HSH N Financial Securities, LLC HSH NORDBANK AG New York
Itaú Securities, Inc. Itaúsa – Investimentos Itaú S.A. New York
J B Hanauer & Co. Royal Bank of Canada New York
J.P. Morgan Securities, Inc. JPMorgan Chase & Co. New York
JJB Hilliard, WL Lyons, Inc. PNC Financial Services Group, Inc., The Cleveland
KBC Financial Products USA, Inc. Cera Ancora VZW New York
KeyBanc Capital Markets Keycorp Cleveland
LBBW Securities, LLC SparkassenVerband Baden-Württemberg New York
M&I Brokerage Services, Inc. Marshall & Ilsley Corporation Chicago
Mellon Financial Markets, LLC Bank of New York Mellon Corp., The New York
Morgan, Keegan & Company, Inc. Regions Financial Corp. Atlanta
NatCity Investments, Inc. National City Corp. Cleveland
National Banc Financial, Inc. National Bank of Canada New York
Natixis Bleichroeder, Inc. Banque Fédérale des Banques Populaires New York
Natixis Securities North America, Inc. Banque Fédérale des Banques Populaires New York
Newedge USA, LLC Société Générale New York
Oriental Financial Services Corp. Oriental Financial Group Inc. New York
Pershing Advisor Solutions, LLC Bank of New York Mellon Corp., The New York
Pershing, LLC Bank of New York Mellon Corp., The New York
Popular Securities, Inc. Popular, Inc. New York
Rabo Securities USA, Inc. Coöperatieve Centrale Raiffeisen-Boerenleenbank B.A.,"Rabobank Nederland" New York
RBC Capital Markets Corp. Royal Bank of Canada New York
RBC Daniels, L.P. Royal Bank of Canada New York
Santander Investment Securities, Inc. Banco Santander Central Hispano, S.A. New York
Santander Securities Corp. Banco Santander Central Hispano, S.A. New York
Scotia Capital (USA), Inc. Bank of Nova Scotia, The New York
Scott & Stringfellow, Inc. BB&T Corp. Richmond
SG Americas Securities, LLC Société Générale New York
Sovereign Securities Corp., LLC Banco Santander, S.A. New York
Stifel Nicolaus & Company, Inc. Stifel Financial Corp. St. Louis
Strand, Atkinson, Williams & York, Inc. Umpqua Holdings Corp. San Francisco
SunTrust Investment Services, Inc. SunTrust Banks, Inc. Atlanta
SunTrust Robinson Humphrey, Inc. SunTrust Banks, Inc. Atlanta
Synovus Securities, Inc. Synovus Financial Corp. Atlanta
TD Ameritrade Clearing, Inc. Toronto-Dominion Bank, The New York
TD Ameritrade Inc. Toronto-Dominion Bank, The New York
TD Securities (USA), LLC Toronto-Dominion Bank, The New York
U.S. Bancorp Investments, Inc. U.S. Bancorp Minneapolis
UBS Financial Services, Inc. UBS AG New York
UBS International, Inc. UBS AG New York
UBS Securities, LLC UBS AG New York
Wachovia Capital Markets, LLC Wachovia Corp. Richmond
Wachovia Securities Financial Network, LLC Wachovia Corp. Richmond
Wachovia Securities, LLC Wachovia Corp. Richmond
Wayne Hummer Investments, LLC Wintrust Financial Corp. Chicago
Wells Fargo Brokerage Services, LLC Wells Fargo & Company San Francisco
Wells Fargo Institutional Securities, LLC Wells Fargo & Company San Francisco
Wells Fargo Investments, LLC Wells Fargo & Company San Francisco
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Financial Subsidiaries (Securities) of State Member Banks
As of March 31, 2008

Financial Subsidiaries of State Member Banks Parent Bank FR District
Comerica Securities, Inc. Comerica, Inc. Dallas
Fifth Third Securities, Inc. Fifth Third Bancorp Cleveland
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Last update:   July 14, 2008