Title 17--Commodity and Securities Exchanges

CHAPTER I--COMMODITY FUTURES TRADING COMMISSION

PART 1--GENERAL REGULATIONS UNDER THE COMMODITY EXCHANGE ACT


TEXT PDF1.1 Fraud in or in connection with transactions in foreign currency subject to the Commodity Exchange Act.
TEXT PDF1.2 Liability of principal for act of agent.
TEXT PDF1.3 Definitions.
TEXT PDF1.4 Use of electronic signatures.
TEXT PDF1.10 Financial reports of futures commission merchants and introducing brokers.
TEXT PDF1.12 Maintenance of minimum financial requirements by futures commission merchants and introducing brokers.
TEXT PDF1.14 Risk assessment recordkeeping requirements for futures commission merchants.
TEXT PDF1.15 Risk assessment reporting requirements for futures commission merchants.
TEXT PDF1.16 Qualifications and reports of accountants.
TEXT PDF1.17 Minimum financial requirements for futures commission merchants and introducing brokers.
TEXT PDF1.18 Records for and relating to financial reporting and monthly computation by futures commission merchants and introducing brokers.
TEXT PDF1.19 Prohibited trading in certain ``puts'' and ``calls''.
TEXT PDF1.20 Customer funds to be segregated and separately accounted for.
TEXT PDF1.21 Care of money and equities accruing to customers.
TEXT PDF1.22 Use of customer funds restricted.
TEXT PDF1.23 Interest of futures commission merchant in segregated funds; additions and withdrawals.
TEXT PDF1.24 Segregated funds; exclusions therefrom.
TEXT PDF1.25 Investment of customer funds.
TEXT PDF1.26 Deposit of instruments purchased with customer funds.
TEXT PDF1.27 Record of investments.
TEXT PDF1.28 Appraisal of instruments purchased with customer funds.
TEXT PDF1.29 Increment or interest resulting from investment of customer funds.
TEXT PDF1.30 Loans by futures commission merchants; treatment of proceeds.
TEXT PDF1.31 Books and records; keeping and inspection.
TEXT PDF1.32 Segregated account; daily computation and record.
TEXT PDF1.33 Monthly and confirmation statements.
TEXT PDF1.34 Monthly record, ``point balance''.
TEXT PDF1.35 Records of cash commodity, futures, and option transactions.
TEXT PDF1.36 Record of securities and property received from customers and option customers.
TEXT PDF1.37 Customer's or option customer's name, address, and occupation recorded; record of guarantor or controller of account.
TEXT PDF1.38 Execution of transactions.
TEXT PDF1.39 Simultaneous buying and selling orders of different principals; execution of, for and between principals.
TEXT PDF1.40 Crop, market information letters, reports; copies required.
TEXT PDF1.44 Records and reports of warehouses, depositories, and other similar entities; visitation of premises.
TEXT PDF1.46 Application and closing out of offsetting long and short positions.
TEXT PDF1.47 Requirements for classification of purchases or sales of contracts for future delivery as bona fide hedging under 1.3(z)(3) of the regulations.
TEXT PDF1.48 Requirements for classification of sales or purchases for future delivery as bona fide hedging of unsold anticipated production or unfilled anticipated requirements under 1.3(z)(2) (i)(B) or (ii)(C) of the regulations.
TEXT PDF1.49 Denomination of customer funds and location of depositories.
TEXT PDF1.52 Self-regulatory organization adoption and surveillance of minimum financial requirements.
TEXT PDF1.53 Enforcement of contract market bylaws, rules, regulations, and resolutions.
TEXT PDF1.54 Contract market rules submitted to and approved or not disapproved by the Secretary of Agriculture.
TEXT PDF1.55 Distribution of ``Risk Disclosure Statement'' by futures commission merchants and introducing brokers.
TEXT PDF1.56 Prohibition of guarantees against loss.
TEXT PDF1.57 Operations and activities of introducing brokers.
TEXT PDF1.58 Gross collection of exchange-set margins.
TEXT PDF1.59 Activities of self-regulatory organization employees, governing board members, committee members, and consultants.
TEXT PDF1.60 Pending legal proceedings.
TEXT PDF1.62 Contract market requirement for floor broker and floor trader registration.
TEXT PDF1.63 Service on self-regulatory organization governing boards or committees by persons with disciplinary histories.
TEXT PDF1.64 Composition of various self-regulatory organization governing boards and major disciplinary committees.
TEXT PDF1.65 Notice of bulk transfers and disclosure obligations to customers.
TEXT PDF1.66 No-action positions with respect to floor traders.
TEXT PDF1.67 Notification of final disciplinary action involving financial harm to a customer.
TEXT PDF1.68 Customer election not to have funds, carried by a futures commission merchant for trading on a registered derivatives transaction execution facility, separately accounted for and segregated.
TEXT PDF1.69 Voting by interested members of self-regulatory organization governing boards and various committees.
TEXT PDF1.70 Notification of State enforcement actions brought under the Commodity Exchange Act.


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