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Title 12 Part 248

Title 12 → Chapter II → Subchapter A → Part 248

Electronic Code of Federal Regulations e-CFR

Title 12 Part 248

Title 12Chapter IISubchapter APart 248


TITLE 12—Banks and Banking

CHAPTER II—FEDERAL RESERVE SYSTEM (CONTINUED)

SUBCHAPTER A—BOARD OF GOVERNORS OF THE FEDERAL RESERVE SYSTEM (CONTINUED)

PART 248—PROPRIETARY TRADING AND CERTAIN INTERESTS IN AND RELATIONSHIPS WITH COVERED FUNDS (REGULATION VV)

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Subpart A—AUTHORITY AND DEFINITIONS

§248.1
Authority, purpose, scope, and relationship to other authorities.
§248.2
Definitions.
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Subpart B—PROPRIETARY TRADING

§248.3
Prohibition on proprietary trading.
§248.4
Permitted underwriting and market making-related activities.
§248.5
Permitted risk-mitigating hedging activities.
§248.6
Other permitted proprietary trading activities.
§248.7
Limitations on permitted proprietary trading activities.
§§248.8-248.9
[Reserved]
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Subpart C—COVERED FUNDS ACTIVITIES AND INVESTMENTS

§248.10
Prohibition on acquiring or retaining an ownership interest in and having certain relationships with a covered fund.
§248.11
Permitted organizing and offering, underwriting, and market making with respect to a covered fund.
§248.12
Permitted investment in a covered fund.
§248.13
Other permitted covered fund activities and investments.
§248.14
Limitations on relationships with a covered fund.
§248.15
Other limitations on permitted covered fund activities.
§248.16
Ownership of interests in and sponsorship of issuers of certain collateralized debt obligations backed by trust-preferred securities.
§§248.17-248.19
[Reserved]
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Subpart D—COMPLIANCE PROGRAM REQUIREMENT; VIOLATIONS

§248.20
Program for compliance; reporting.
§248.21
Termination of activities or investments; penalties for violations.
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Appendix
Appendix A to Part 248—Reporting and Recordkeeping Requirements for Covered Trading Activities
Appendix
Appendix B to Part 248—Enhanced Minimum Standards for Compliance Programs