Title 12
PART 208 SUBPART C
Subpart C - Bank Securities and Securities-Related Activities
- 12 U.S.C. 24, 36, 92a, 93a, 248(a), 248(c), 321-338a, 371d, 461, 481-486, 601, 611, 1814, 1816, 1817(a)(3), 1817(a)(12), 1818, 1820(d)(9), 1833(j), 1828(o), 1831, 1831o, 1831p-1, 1831r-1, 1831w, 1831x, 1835a, 1882, 2901-2907, 3105, 3310, 3331-3351, 3905-3909, 5371, and 5371 note; 15 U.S.C. 78b, 78I(b), 78l(i), 780-4(c)(5), 78q, 78q-1, 78w, 1681s, 1681w, 6801, and 6805; 31 U.S.C. 5318; 42 U.S.C. 4012a, 4104a, 4104b, 4106, and 4128.
- Source: Reg. H, 17 FR 8006, Sept. 4, 1952, unless otherwise noted.
12:2.0.1.1.9.3.3.1 | SECTION 208.30 | 208.30 Authority, purpose, and scope. | |
12:2.0.1.1.9.3.3.2 | SECTION 208.31 | 208.31 State member banks as transfer agents. | |
12:2.0.1.1.9.3.3.3 | SECTION 208.32 | 208.32 Notice of disciplinary sanctions imposed by registered clearing agency. | |
12:2.0.1.1.9.3.3.4 | SECTION 208.33 | 208.33 Application for stay or review of disciplinary sanctions imposed by registered clearing agency. | |
12:2.0.1.1.9.3.3.5 | SECTION 208.34 | 208.34 Recordkeeping and confirmation of certain securities transactions effected by State member banks. | |
12:2.0.1.1.9.3.3.6 | SECTION 208.35 | 208.35 Qualification requirements for transactions in certain securities. [Reserved] | |
12:2.0.1.1.9.3.3.7 | SECTION 208.36 | 208.36 Reporting requirements for State member banks subject to the Securities Exchange Act of 1934. | |
12:2.0.1.1.9.3.3.8 | SECTION 208.37 | 208.37 Government securities sales practices. |