Title 17--Commodity and Securities Exchanges

CHAPTER II--SECURITIES AND EXCHANGE COMMISSION

PART 205--STANDARDS OF PROFESSIONAL CONDUCT FOR ATTORNEYS APPEARING AND PRACTICING BEFORE THE COMMISSION IN THE REPRESENTATION OF AN ISSUER


TEXT PDF205.1 Purpose and scope.
TEXT PDF205.2 Definitions.
TEXT PDF205.3 Issuer as client.
TEXT PDF205.4 Responsibilities of supervisory attorneys.
TEXT PDF205.5 Responsibilities of a subordinate attorney.
TEXT PDF205.6 Sanctions and discipline.
TEXT PDF205.7 No private right of action.


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