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Part 200: Organization; Conduct and Ethics; and Information and Requests Editorial Note: Nomenclature changes to part 200 appear at 76 FR 60371, Sept. 29, 2011.
Part 201: Rules of Practice
Part 202: Informal and Other Procedures
Part 203: Rules Relating to Investigations
Part 204: Rules Relating to Debt Collection
Part 205: Standards of Professional Conduct for Attorneys Appearing and Practicing Before the Commission in the Representation of an Issuer
Part 209: Forms Prescribed Under the Commission's Rules of Practice
Part 210: Form and Content of and Requirements for Financial Statements, Securities Act of 1933, Securities Exchange Act of 1934, Investment Company Act of 1940, Investment Advisers Act of 1940, and Energy Policy and Conservation Act of 1975
Part 211: Interpretations Relating to Financial Reporting Matters
Part 227: Regulation Crowdfunding, General Rules and Regulations
Part 228: [Reserved]
Part 229: Standard Instructions for Filing Forms Under Securities Act of 1933, Securities Exchange Act of 1934 and Energy Policy and Conservation Act of 1975 - Regulation S-K
Part 230: General Rules and Regulations, Securities Act of 1933
Part 231: Interpretative Releases Relating to the Securities Act of 1933 and General Rules and Regulations Thereunder
Part 232: Regulation S-T - General Rules and Regulations for Electronic Filings
Part 239: Forms Prescribed Under the Securities Act of 1933
Part 240: General Rules and Regulations, Securities Exchange Act of 1934
Part 241: Interpretative Releases Relating to the Securities Exchange Act of 1934 and General Rules and Regulations Thereunder
Part 242: Regulations M, SHO, ATS, AC, NMS, and SBSR and Customer Margin Requirements for Security Futures
Part 243: Regulation FD
Part 244: Regulation G
Part 245: Regulation Blackout Trading Restriction[Regulation BTR - Blackout Trading Restriction]
Part 246: Credit Risk Retention
Part 247: Regulation R - Exemptions and Definitions Related to the Exceptions for Banks from the Definition of Broker
Part 248: Regulations S-P, S-AM, and S-ID
Part 249: Forms, Securities Exchange Act of 1934
Part 249a: Forms, Securities Investor Protection Act of 1970 [Reserved]
Part 249b: Further Forms, Securities Exchange Act of 1934
Part 250: Cross-Border Antifraud Law-Enforcement Authority
Parts 251-254: [Reserved]
Part 255: Proprietary Trading and Certain Interests in and Relationships with Covered Funds
Parts 256-259: [Reserved]
Part 260: General Rules and Regulations, Trust Indenture Act of 1939
Part 261: Interpretative Releases Relating to the Trust Indenture Act of 1939 and General Rules and Regulations Thereunder Subject Release No. Date Fed. Reg. Vol. and Page Opinion of the General Counsel relating to application of section 310(b) where trustee under one indenture is trustee under another indenture for securities of an affiliate of the obligor 16 Nov. 14, 1941 11 FR 10989. Opinion of the Chief Counsel to the Corporation Finance Division relating to when-issued trading of securities the issuance of which is subject to approval by a Federal district court under Chapter X of the Bankruptcy Act 30 Aug. 28, 1944 Do. Opinion of the Chief Counsel to the Corporation Finance Division relating to when-issued trading of securities the issuance of which has already been approved by a Federal district court under Chapter X of the Bankruptcy Act 31 Jan. 4, 1945 11 FR 10990. Interpretation with reference to the securities of the International Bank for Reconstruction and Development 37 June 25, 1947 12 FR 4450. Statement of the Commission to clarify the meaning of “beneficial ownership of securities” as relates to beneficial ownership of securities held by family members 227 Jan. 25, 1966 31 FR 1005. Statement of the Commission setting the date of May 1, 1966 after which filings must reflect beneficial ownership of securities held by family members 229 Feb. 14, 1966 31 FR 3175. Commissions statement re exemption of certain industrial revenue bonds from registration, etc. requirements in view of amendment of Securities Act of 1933 and of Securities Exchange Act of 1934 by “section 401” (Pub. L. 91-1037) 284 Nov. 6, 1970 35 FR 17990. Publication of the Commission's procedure to be followed if requests are to be met for no action or interpretative letters and responses thereto to be made available for public use 289 Jan. 25, 1971 36 FR 2600. Offerings of debt securities pursuant to trust indentures 524 Apr. 25, 1979 44 FR 26739. No-action position respecting public offerings of debt securities registered on Form SB-2 without qualification of an indenture under the Trust Indenture Act 542 Oct. 16, 1979 44 FR 61941. Simplified form of trust indenture 605 Jan. 8, 1981 46 FR 3500. Retail repurchase agreements by banks and Savings and Loan Associations 658 Sept. 25, 1981 46 FR 48637. Application of the registration provisions of the Securities Act of 1933 to the offer and sale of securities by United States branches and agencies of foreign banks 2038 Sept. 23, 1986 51 FR 34462.
Part 269: Forms Prescribed Under the Trust Indenture Act of 1939
Part 270: Rules and Regulations, Investment Company Act of 1940
Part 271: Interpretative Releases Relating to the Investment Company Act of 1940 and General Rules and Regulations Thereunder
Part 274: Forms Prescribed Under the Investment Company Act of 1940
Part 275: Rules and Regulations, Investment Advisers Act of 1940
Part 276: Interpretative Releases Relating to the Investment Advisers Act of 1940 and General Rules and Regulations Thereunder
Part 279: Forms Prescribed Under the Investment Advisers Act of 1940
Part 281: Interpretative Releases Relating to Corporate Reorganizations Under Chapter X of the Bankruptcy Act Subject Release No. Date Fed. Reg. Vol. and Page Letter of the Commission with respect to transmission to the Commission of all petitions, answers, orders, applications, reports and other papers filed under Chapter X of the Bankruptcy Act 1 Sept. 26, 1938 11 FR 10997. Statement by the Commission summarizing Chapter X of the Bankruptcy Act 2 ......do 11 FR 10998.
Part 285: Rules and Regulations Pursuant to Section 15(a) of the Bretton Woods Agreements Act
Part 286: General Rules and Regulations Pursuant to Section 11(a) of the Inter-American Development Bank Act
Part 287: General Rules and Regulations Pursuant to Section 11(a) of the Asian Development Bank Act
Part 288: General Rules and Regulations Pursuant to Section 9(a) of the African Development Bank Act
Part 289: General Rules and Regulations Pursuant to Section 13(a) of the International Finance Corporation Act
Part 290: General Rules and Regulations Pursuant to Section 9(a) of the European Bank for Reconstruction and Development Act
Part 300: Rules of the Securities Investor Protection Corporation
Part 301: Forms, Securities Investor Protection Corporation
Part 302: Orderly Liquidation of Covered Brokers or Dealers
Parts 301-399: [Reserved]
Part 1: General Regulations Under the Commodity Exchange Act
Part 2: Official Seal
Part 3: Registration
Part 4: Commodity Pool Operators and Commodity Trading Advisors
Part 5: Off-Exchange Foreign Currency Transactions
Part 7: Registered Entity Rules Altered or Supplemented by the Commission
Part 8: [Reserved]
Part 9: Rules Relating to Review of Exchange Disciplinary, Access Denial or Other Adverse Actions
Part 10: Rules of Practice
Part 11: Rules Relating to Investigations
Part 12: Rules Relating to Reparations
Part 13: Procedures for Petitions for Rulemaking
Part 14: Rules Relating to Suspension or Disbarment from Appearance and Practice
Part 15: Reports - General Provisions
Part 16: Reports by Contract Markets and Swap Execution Facilities
Part 17: Reports by Reporting Markets, Futures Commission Merchants, Clearing Members, and Foreign Brokers
Part 18: Reports by Traders
Part 19: Reports by Persons Holding Reportable Positions in Excess of Position Limits, and by Merchants and Dealers in Cotton
Part 20: Large Trader Reporting for Physical Commodity Swaps
Part 21: Special Calls
Part 22: Cleared Swaps
Part 23: Swap Dealers and Major Swap Participants
Part 30: Foreign Futures and Foreign Options Transactions
Part 31: Leverage Transactions
Part 32: Regulation of Commodity Option Transactions
Part 33: Regulation of Commodity Option Transactions That Are Options on Contracts of Sale of a Commodity for Future Delivery
Part 34: Regulation of Hybrid Instruments
Part 35: Swaps in an Agricultural Commodity (Agricultural Swaps)
Part 36: Trade Execution Requirement
Part 37: Swap Execution Facilities
Part 38: Designated Contract Markets
Part 39: Derivatives Clearing Organizations
Part 40: Provisions Common to Registered Entities
Part 41: Security Futures Products
Part 42: Anti-Money Laundering, Terrorist Financing
Part 43: Real-Time Public Reporting
Part 44: Interim Final Rule for Pre-Enactment Swap Transactions
Part 45: Swap Data Recordkeeping and Reporting Requirements
Part 46: Swap Data Recordkeeping and Reporting Requirements: Pre-Enactment and Transition Swaps
Part 48: Registration of Foreign Boards of Trade
Part 49: Swap Data Repositories
Part 50: Clearing Requirement and Related Rules
Part 75: Proprietary Trading and Certain Interests in and Relationships with Covered Funds
Part 100: Delivery Period Required
Part 140: Organization, Functions, and Procedures of the Commission
Part 141: Salary Offset
Part 142: Indemnification of CFTC Employees
Part 143: Collection of Claims Owed the United States Arising from Activities Under the Commission's Jurisdiction
Part 144: Procedures Regarding the Disclosure of Information and the Testimony of Present or Former Officers and Employees in Response to Subpoenas or Other Demands of a Court
Part 145: Commission Records and Information
Part 146: Records Maintained on Individuals
Part 147: Open Commission Meetings
Part 148: Implementation of the Equal Access to Justice Act in Covered Adjudicatory Proceedings Before the Commission
Part 149: Enforcement of Nondiscrimination on the Basis of Handicap in Programs or Activities Conducted by the Commodity Futures Trading Commission
Part 150: Limits on Positions
Part 151: [Reserved]
Part 155: Trading Standards
Part 156: Broker Associations
Part 160: Privacy of Consumer Financial Information Under Title V of the Gramm-Leach-Bliley Act
Part 162: Protection of Consumer Information Under the Fair Credit Reporting Act
Part 165: Whistleblower Rules
Part 166: Customer Protection Rules
Part 170: Registered Futures Associations
Part 171: Rules Relating to Review of National Futures Association Decisions in Disciplinary, Membership Denial, Registration and Member Responsibility Actions
Part 180: Prohibition Against Manipulation
Part 190: Bankruptcy Rules
Parts 191-199: [Reserved]