Title 12

PART 703 SUBPART A

Subpart A - General Investment and Deposit Activities

12:7.0.2.3.4.1.11.1SECTION 703.1
   703.1 Purpose and scope.
12:7.0.2.3.4.1.11.2SECTION 703.2
   703.2 Definitions.
12:7.0.2.3.4.1.11.3SECTION 703.3
   703.3 Investment policies.
12:7.0.2.3.4.1.11.4SECTION 703.4
   703.4 Recordkeeping and documentation requirements.
12:7.0.2.3.4.1.11.5SECTION 703.5
   703.5 Discretionary control over investments and investment advisers.
12:7.0.2.3.4.1.11.6SECTION 703.6
   703.6 Credit analysis.
12:7.0.2.3.4.1.11.7SECTION 703.7
   703.7 Notice of non-compliant investments.
12:7.0.2.3.4.1.11.8SECTION 703.8
   703.8 Broker-dealers.
12:7.0.2.3.4.1.11.9SECTION 703.9
   703.9 Safekeeping of investments.
12:7.0.2.3.4.1.11.10SECTION 703.10
   703.10 Monitoring non-security investments.
12:7.0.2.3.4.1.11.11SECTION 703.11
   703.11 Valuing securities.
12:7.0.2.3.4.1.11.12SECTION 703.12
   703.12 Monitoring securities.
12:7.0.2.3.4.1.11.13SECTION 703.13
   703.13 Permissible investment activities.
12:7.0.2.3.4.1.11.14SECTION 703.14
   703.14 Permissible investments.
12:7.0.2.3.4.1.11.15SECTION 703.15
   703.15 Prohibited investment activities.
12:7.0.2.3.4.1.11.16SECTION 703.16
   703.16 Prohibited investments.
12:7.0.2.3.4.1.11.17SECTION 703.17
   703.17 Conflicts of interest.
12:7.0.2.3.4.1.11.18SECTION 703.18
   703.18 Grandfathered investments.
12:7.0.2.3.4.1.11.19SECTION 703.19
   703.19 Investment pilot program.
12:7.0.2.3.4.1.11.20SECTION 703.20
   703.20 Request for additional authority.