Title 17--Commodity and Securities Exchanges

CHAPTER II--SECURITIES AND EXCHANGE COMMISSION (CONTINUED)

PART 270--RULES AND REGULATIONS, INVESTMENT COMPANY ACT OF 1940


TEXT PDF270.0-1 Definition of terms used in this part.
TEXT PDF270.0-2 General requirements of papers and applications.
TEXT PDF270.0-3 Amendments to registration statements and reports.
TEXT PDF270.0-4 Incorporation by reference.
TEXT PDF270.0-5 Procedure with respect to applications and other matters.
TEXT PDF270.0-8 Payment of fees.
TEXT PDF270.0-10 Small entities under the Investment Company Act for purposes of the Regulatory Flexibility Act.
TEXT PDF270.0-11 Customer identification programs.
TEXT PDF270.2a-1 Valuation of portfolio securities in special cases.
TEXT PDF270.2a-2 Effect of eliminations upon valuation of portfolio securities.
TEXT PDF270.2a3-1 Investment company limited partners not deemed affiliated persons.
TEXT PDF270.2a-4 Definition of ``current net asset value'' for use in computing periodically the current price of redeemable security.
TEXT PDF270.2a-6 Certain transactions not deemed assignments.
TEXT PDF270.2a-7 Money market funds.
TEXT PDF270.2a19-2 Investment company general partners not deemed interested persons.
TEXT PDF270.2a19-3 Certain investment company directors not considered interested persons because of ownership of index fund securities.
TEXT PDF270.2a41-1 Valuation of standby commitments by registered investment companies.
TEXT PDF270.2a51-1 Definition of investments for purposes of section 2(a)(51) (definition of ``qualified purchaser''); certain calculations.
TEXT PDF270.2a51-2 Definitions of beneficial owner for certain purposes under sections 2(a)(51) and 3(c)(7) and determining indirect ownership interests.
TEXT PDF270.2a51-3 Certain companies as qualified purchasers.
TEXT PDF270.3a-1 Certain prima facie investment companies.
TEXT PDF270.3a-2 Transient investment companies.
TEXT PDF270.3a-3 Certain investment companies owned by companies which are not investment companies.
TEXT PDF270.3a-4 Status of investment advisory programs.
TEXT PDF270.3a-5 Exemption for subsidiaries organized to finance the operations of domestic or foreign companies.
TEXT PDF270.3a-6 Foreign banks and foreign insurance companies.
TEXT PDF270.3a-7 Issuers of asset-backed securities.
TEXT PDF270.3a-8 Certain research and development companies.
TEXT PDF270.3c-1 Definition of beneficial ownership for certain 3(c)(1) funds.
TEXT PDF270.3c-2 Definition of beneficial ownership in small business investment companies.
TEXT PDF270.3c-3 Definition of certain terms used in section 3(c)(1) of the Act with respect to certain debt securities offered by small business investment companies.
TEXT PDF270.3c-4 Definition of ``common trust fund'' as used in section 3(c)(3) of the Act.
TEXT PDF270.3c-5 Beneficial ownership by knowledgeable employees and certain other persons.
TEXT PDF270.3c-6 Certain transfers of interests in section 3(c)(1) and section 3(c)(7) funds.
TEXT PDF270.5b-1 Definition of ``total assets.''
TEXT PDF270.5b-2 Exclusion of certain guarantees as securities of the guarantor.
TEXT PDF270.5b-3 Acquisition of repurchase agreement or refunded security treated as acquisition of underlying securities.
TEXT PDF270.6b-1 Exemption of employees' securities company pending determination of application.
TEXT PDF270.6c-3 Exemptions for certain registered variable life insurance separate accounts.
TEXT PDF270.6c-6 Exemption for certain registered separate accounts and other persons.
TEXT PDF270.6c-7 Exemptions from certain provisions of sections 22(e) and 27 for registered separate accounts offering variable annuity contracts to participants in the Texas Optional Retirement Program.
TEXT PDF270.6c-8 Exemptions for registered separate accounts to impose a deferred sales load and to deduct certain administrative charges.
TEXT PDF270.6c-10 Exemption for certain open-end management investment companies to impose deferred sales loads.
TEXT PDF270.6d-1 Exemption for certain closed-end investment companies.
TEXT PDF270.6e-2 Exemptions for certain variable life insurance separate accounts.
TEXT PDF270.6e-3(T) Temporary exemptions for flexible premium variable life insurance separate accounts.
TEXT PDF270.7d-1 Specification of conditions and arrangements for Canadian management investment companies requesting order permitting registration.
TEXT PDF270.7d-2 Definition of ``public offering'' as used in section 7(d) of the Act with respect to certain Canadian tax-deferred retirement savings accounts.
TEXT PDF270.8b-1 Scope of 270.8b-1 to 270.8b-32.
TEXT PDF270.8b-2 Definitions.
TEXT PDF270.8b-3 Title of securities.
TEXT PDF270.8b-4 Interpretation of requirements.
TEXT PDF270.8b-5 Time of filing original registration statement.
TEXT PDF270.8b-10 Requirements as to proper form.
TEXT PDF270.8b-11 Number of copies; signatures; binding.
TEXT PDF270.8b-12 Requirements as to paper, printing and language.
TEXT PDF270.8b-13 Preparation of registration statement or report.
TEXT PDF270.8b-14 Riders; inserts.
TEXT PDF270.8b-15 Amendments.
TEXT PDF270.8b-16 Amendments to registration statement.
TEXT PDF270.8b-20 Additional information.
TEXT PDF270.8b-21 Information unknown or not available.
TEXT PDF270.8b-22 Disclaimer of control.
TEXT PDF270.8b-23 Incorporation by reference.
TEXT PDF270.8b-24 Summaries or outlines of documents.
TEXT PDF270.8b-25 Extension of time for furnishing information.
TEXT PDF270.8b-30 Additional exhibits.
TEXT PDF270.8b-31 Omission of substantially identical documents.
TEXT PDF270.8b-32 Incorporation of exhibits by reference.
TEXT PDF270.8f-1 Deregistration of certain registered investment companies.
TEXT PDF270.10b-1 Definition of regular broker or dealer.
TEXT PDF270.10e-1 Death, disqualification, or bona fide resignation of directors.
TEXT PDF270.10f-1 Conditional exemption of certain underwriting transactions.
TEXT PDF270.10f-2 Exercise of warrants or rights received on portfolio securities.
TEXT PDF270.10f-3 Exemption for the acquisition of securities during the existence of an underwriting or selling syndicate.
TEXT PDF270.11a-1 Definition of ``exchange'' for purposes of section 11 of the Act.
TEXT PDF270.11a-2 Offers of exchange by certain registered separate accounts or others the terms of which do not require prior Commission approval.
TEXT PDF270.11a-3 Offers of exchange by open-end investment companies other than separate accounts.
TEXT PDF270.12b-1 Distribution of shares by registered open-end management investment company.
TEXT PDF270.12d2-1 Definition of insurance company for purposes of sections 12(d)(2) and 12(g) of the Act.
TEXT PDF270.12d3-1 Exemption of acquisitions of securities issued by persons engaged in securities related businesses.
TEXT PDF270.13a-1 Exemption for change of status by temporarily diversified company.
TEXT PDF270.14a-1 Use of notification pursuant to regulation E under the Securities Act of 1933.
TEXT PDF270.14a-2 Exemption from section 14(a) of the Act for certain registered separate accounts and their principal underwriters.
TEXT PDF270.14a-3 Exemption from section 14(a) of the Act for certain registered unit investment trusts and their principal underwriters.
TEXT PDF270.15a-1 Exemption from stockholders' approval of certain small investment advisory contracts.
TEXT PDF270.15a-2 Annual continuance of contracts.
TEXT PDF270.15a-3 Exemption for initial period of investment adviser of certain registered separate accounts from requirement of security holder approval of investment advisory contract.
TEXT PDF270.15a-4 Temporary exemption for certain investment advisers.
TEXT PDF270.16a-1 Exemption for initial period of directors of certain registered accounts from requirements of election by security holders.
TEXT PDF270.17a-1 Exemption of certain underwriting transactions exempted by 270.10f-1.
TEXT PDF270.17a-2 Exemption of certain purchase, sale, or borrowing transactions.
TEXT PDF270.17a-3 Exemption of transactions with fully owned subsidiaries.
TEXT PDF270.17a-4 Exemption of transactions pursuant to certain contracts.
TEXT PDF270.17a-5 Pro rata distribution neither ``sale'' nor ``purchase.''
TEXT PDF270.17a-6 Exemption for transactions with portfolio affiliates.
TEXT PDF270.17a-7 Exemption of certain purchase or sale transactions between an investment company and certain affiliated persons thereof.
TEXT PDF270.17a-8 Mergers of affiliated companies.
TEXT PDF270.17a-9 Purchase of certain securities from a money market fund by an affiliate, or an affiliate of an affiliate.
TEXT PDF270.17a-10 Exemption for transactions with certain subadvisory affiliates.
TEXT PDF270.17d-1 Applications regarding joint enterprises or arrangements and certain profit-sharing plans.
TEXT PDF270.17d-2 Form for report by small business investment company and affiliated bank.
TEXT PDF270.17d-3 Exemption relating to certain joint enterprises or arrangements concerning payment for distribution of shares of a registered open-end management investment company.
TEXT PDF270.17e-1 Brokerage transactions on a securities exchange.
TEXT PDF270.17f-1 Custody of securities with members of national securities exchanges.
TEXT PDF270.17f-2 Custody of investments by registered management investment company.
TEXT PDF270.17f-3 Free cash accounts for investment companies with bank custodians.
TEXT PDF270.17f-4 Custody of investment company assets with a securities depository.
TEXT PDF270.17f-5 Custody of investment company assets outside the United States.
TEXT PDF270.17f-6 Custody of investment company assets with Futures Commission Merchants and Commodity Clearing Organizations.
TEXT PDF270.17f-7 Custody of investment company assets with a foreign securities depository.
TEXT PDF270.17g-1 Bonding of officers and employees of registered management investment companies.
TEXT PDF270.17j-1 Personal investment activities of investment company personnel.
TEXT PDF270.18c-1 Exemption of privately held indebtedness.
TEXT PDF270.18c-2 Exemptions of certain debentures issued by small business investment companies.
TEXT PDF270.18f-1 Exemption from certain requirements of section 18(f)(1) (of the Act) for registered open-end investment companies which have the right to redeem in kind.
TEXT PDF270.18f-2 Fair and equitable treatment for holders of each class or series of stock of series investment companies.
TEXT PDF270.18f-3 Multiple class companies.
TEXT PDF270.19a-1 Written statement to accompany dividend payments by management companies.
TEXT PDF270.19b-1 Frequency of distribution of capital gains.
TEXT PDF270.20a-1 Solicitation of proxies, consents and authorizations.
TEXT PDF270.22c-1 Pricing of redeemable securities for distribution, redemption and repurchase.
TEXT PDF270.22d-1 Exemption from section 22(d) to permit sales of redeemable securities at prices which reflect sales loads set pursuant to a schedule.
TEXT PDF270.22d-2 Exemption from section 22(d) for certain registered separate accounts.
TEXT PDF270.22e-1 Exemption from section 22(e) of the Act during annuity payment period of variable annuity contracts participating in certain registered separate accounts.
TEXT PDF270.22e-2 Pricing of redemption requests in accordance with Rule 22c-1.
TEXT PDF270.23c-1 Repurchase of securities by closed-end companies.
TEXT PDF270.23c-1 Repurchases of securities by closed-end companies.
TEXT PDF270.23c-2 Call and redemption of securities issued by registered closed-end companies.
TEXT PDF270.23c-3 Repurchase offers by closed-end companies.
TEXT PDF270.24b-1 Definitions.
TEXT PDF270.24b-2 Filing copies of sales literature.
TEXT PDF270.24b-3 Sales literature deemed filed.
TEXT PDF270.24e-1 Filing of certain prospectuses as post-effective amendments to registration statements under the Securities Act of 1933.
TEXT PDF270.24f-2 Registration under the Securities Act of 1933 of certain investment company securities.
TEXT PDF270.26a-1 Payment of administrative fees to the depositor or principal underwriter of a unit investment trust; exemptive relief for separate accounts.
TEXT PDF270.26a-2 Exemptions from certain provisions of sections 26 and 27 for registered separate accounts and others regarding custodianship of and deduction of certain fees and charges from the assets of such accounts.
TEXT PDF270.27a-1 Conditions for compliance with and exemptions from certain provisions of section 27(a)(1) and section 27(h)(1) of the Act for certain registered separate accounts.
TEXT PDF270.27a-2 Exemption from section 27(a)(3) and section 27(h)(3) of the Act for certain registered separate accounts.
TEXT PDF270.27a-3 Exemption from section 27(a)(4) and section 27(h)(5) of the Act for certain registered separate accounts.
TEXT PDF270.27c-1 Exemption from section 27(c)(1) and section 27(d) of the Act during annuity payment period of variable annuity contracts participating in certain registered separate accounts.
TEXT PDF270.27d-1 Reserve requirements for principal underwriters and depositors to carry out the obligations to refund charges required by section 27(d) and section 27(f) of the Act.
TEXT PDF270.27d-2 Insurance company undertaking in lieu of segregated trust account.
TEXT PDF270.27e-1 Requirements for notice to be mailed to certain purchasers of periodic payment plan certificates sold subject to section 27(d) of the Act.
TEXT PDF270.27f-1 Notice of right of withdrawal required to be mailed to periodic payment plan certificate holders and exemption from section 27(f) for certain periodic payment plan certificates.
TEXT PDF270.27g-1 Election to be governed by section 27(h).
TEXT PDF270.27h-1 Exemptions from section 27(h)(4) for certain payments.
TEXT PDF270.28b-1 Investment in loans partially or wholly guaranteed under the Servicemen's Readjustment Act of 1944, as amended.
TEXT PDF270.30a-1 Annual reports for unit investment trusts.
TEXT PDF270.30a-2 Certification of Form N-CSR.
TEXT PDF270.30a-2 Certification of Form N-CSR and Form N-Q.
TEXT PDF270.30a-3 Controls and procedures.
TEXT PDF270.30a-3 Controls and procedures.
TEXT PDF270.30b1-1 Semi-annual report for registered management investment companies.
TEXT PDF270.30b1-2 Semi-annual report for totally-owned registered management investment company subsidiary of registered management investment company.
TEXT PDF270.30b1-3 Transition reports.
TEXT PDF270.30b1-4 Report of proxy voting record.
TEXT PDF270.30b1-5 Quarterly report.
TEXT PDF270.30b2-1 Filing of reports to stockholders.
TEXT PDF270.30d-1 Designation of periodic reports under the Securities Exchange Act of 1934.
TEXT PDF270.30d-1 Filing of copies of reports to shareholders.
TEXT PDF270.30e-1 Reports to stockholders of management companies.
TEXT PDF270.30e-2 Reports to shareholders of unit investment trusts.
TEXT PDF270.30h-1 Applicability of section 16 of the Exchange Act to section 30(h).
TEXT PDF270.31a-1 Records to be maintained by registered investment companies, certain majority-owned subsidiaries thereof, and other persons having transactions with registered investment companies.
TEXT PDF270.31a-2 Records to be preserved by registered investment companies, certain majority-owned subsidiaries thereof, and other persons having transactions with registered investment companies.
TEXT PDF270.31a-3 Records prepared or maintained by other than person required to maintain and preserve them.
TEXT PDF270.32a-1 Exemption of certain companies from affiliation provisions of section 32(a).
TEXT PDF270.32a-2 Exemption for initial period from vote of security holders on independent public accountant for certain registered separate accounts.
TEXT PDF270.32a-3 Exemption from provision of section 32(a)(1) regarding the time period during which a registered management investment company must select an independent public accountant.
TEXT PDF270.32a-4 Independent audit committees.
TEXT PDF270.34b-1 Sales literature deemed to be misleading.
TEXT PDF270.35d-1 Investment company names.
TEXT PDF270.38a-1 Compliance procedures and practices of certain investment companies.
TEXT PDF270.45a-1 Confidential treatment of names and addresses of dealers of registered investment company securities.
TEXT PDF270.57b-1 Exemption for downstream affiliates of business development companies.
TEXT PDF270.60a-1 Exemption for certain business development companies.


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