17:1.0.1.1.1.0.1 | SUBJGRP 1
| Definitions | |
17:1.0.1.1.1.0.1.1 | SECTION 1.1
| 1.1 [Reserved] | |
17:1.0.1.1.1.0.1.2 | SECTION 1.2
| 1.2 Liability of principal for act of agent. | |
17:1.0.1.1.1.0.1.3 | SECTION 1.3
| 1.3 Definitions. | |
17:1.0.1.1.1.0.1.4 | SECTION 1.4
| 1.4 Electronic signatures, acknowledgments and verifications. | |
17:1.0.1.1.1.0.1.5 | SECTION 1.6
| 1.6 Anti-evasion. | |
17:1.0.1.1.1.0.1.6 | SECTION 1.7
| 1.7 Books and records requirements for security-based swap agreements. | |
17:1.0.1.1.1.0.1.7 | SECTION 1.8
| 1.8 Requests for interpretation of swaps, security-based swaps, and mixed swaps. | |
17:1.0.1.1.1.0.1.8 | SECTION 1.9
| 1.9 Regulation of mixed swaps. | |
17:1.0.1.1.1.0.2 | SUBJGRP 2
| Minimum Financial and Related Reporting Requirements | |
17:1.0.1.1.1.0.2.9 | SECTION 1.10
| 1.10 Financial reports of futures commission merchants and introducing brokers. | |
17:1.0.1.1.1.0.2.10 | SECTION 1.11
| 1.11 Risk Management Program for futures commission merchants. | |
17:1.0.1.1.1.0.2.11 | SECTION 1.12
| 1.12 Maintenance of minimum financial requirements by futures commission merchants and introducing brokers. | |
17:1.0.1.1.1.0.2.12 | SECTION 1.13
| 1.13 [Reserved] | |
17:1.0.1.1.1.0.2.13 | SECTION 1.14
| 1.14 Risk assessment recordkeeping requirements for futures commission merchants. | |
17:1.0.1.1.1.0.2.14 | SECTION 1.15
| 1.15 Risk assessment reporting requirements for futures commission merchants. | |
17:1.0.1.1.1.0.2.15 | SECTION 1.16
| 1.16 Qualifications and reports of accountants. | |
17:1.0.1.1.1.0.2.16 | SECTION 1.17
| 1.17 Minimum financial requirements for futures commission merchants and introducing brokers. | |
17:1.0.1.1.1.0.2.17 | SECTION 1.18
| 1.18 Records for and relating to financial reporting and monthly computation by futures commission merchants and introducing brokers. | |
17:1.0.1.1.1.0.3 | SUBJGRP 3
| Prohibited Trading in Commodity Options | |
17:1.0.1.1.1.0.3.18 | SECTION 1.19
| 1.19 Prohibited trading in certain “puts” and “calls”. | |
17:1.0.1.1.1.0.4 | SUBJGRP 4
| Customers' Money, Securities, and Property | |
17:1.0.1.1.1.0.4.19 | SECTION 1.20
| 1.20 Futures customer funds to be segregated and separately accounted for. | |
17:1.0.1.1.1.0.4.20 | SECTION 1.21
| 1.21 Care of money and equities accruing to futures customers. | |
17:1.0.1.1.1.0.4.21 | SECTION 1.22
| 1.22 Use of futures customer funds restricted. | |
17:1.0.1.1.1.0.4.22 | SECTION 1.23
| 1.23 Interest of futures commission merchant in segregated futures customer funds; additions and withdrawals. | |
17:1.0.1.1.1.0.4.23 | SECTION 1.24
| 1.24 Segregated funds; exclusions therefrom. | |
17:1.0.1.1.1.0.4.24 | SECTION 1.25
| 1.25 Investment of customer funds. | |
17:1.0.1.1.1.0.4.25 | SECTION 1.26
| 1.26 Deposit of instruments purchased with futures customer funds. | |
17:1.0.1.1.1.0.4.26 | SECTION 1.27
| 1.27 Record of investments. | |
17:1.0.1.1.1.0.4.27 | SECTION 1.28
| 1.28 Appraisal of instruments purchased with customer funds. | |
17:1.0.1.1.1.0.4.28 | SECTION 1.29
| 1.29 Gains and losses resulting from investment of customer funds. | |
17:1.0.1.1.1.0.4.29 | SECTION 1.30
| 1.30 Loans by futures commission merchants; treatment of proceeds. | |
17:1.0.1.1.1.0.5 | SUBJGRP 5
| Recordkeeping | |
17:1.0.1.1.1.0.5.30 | SECTION 1.31
| 1.31 Regulatory records; retention and production. | |
17:1.0.1.1.1.0.5.31 | SECTION 1.32
| 1.32 Reporting of segregated account computation and details regarding the holding of futures customer funds. | |
17:1.0.1.1.1.0.5.32 | SECTION 1.33
| 1.33 Monthly and confirmation statements. | |
17:1.0.1.1.1.0.5.33 | SECTION 1.34
| 1.34 Monthly record, “point balance”. | |
17:1.0.1.1.1.0.5.34 | SECTION 1.35
| 1.35 Records of commodity interest and related cash or forward transactions. | |
17:1.0.1.1.1.0.5.35 | SECTION 1.36
| 1.36 Record of securities and property received from customers. | |
17:1.0.1.1.1.0.5.36 | SECTION 1.37
| 1.37 Customer's name, address, and occupation recorded; record of guarantor or controller of account. | |
17:1.0.1.1.1.0.5.37 | SECTION 1.38
| 1.38 Execution of transactions. | |
17:1.0.1.1.1.0.5.38 | SECTION 1.39
| 1.39 Simultaneous buying and selling orders of different principals; execution of, for and between principals. | |
17:1.0.1.1.1.0.6 | SUBJGRP 6
| Miscellaneous | |
17:1.0.1.1.1.0.6.39 | SECTION 1.40
| 1.40 Crop, market information letters, reports; copies required. | |
17:1.0.1.1.1.0.6.40 | SECTION 1.41-1.45
| 1.41-1.45 [Reserved] | |
17:1.0.1.1.1.0.6.41 | SECTION 1.46
| 1.46 Application and closing out of offsetting long and short positions. | |
17:1.0.1.1.1.0.6.42 | SECTION 1.47-1.48
| 1.47-1.48 [Reserved] | |
17:1.0.1.1.1.0.6.43 | SECTION 1.49
| 1.49 Denomination of customer funds and location of depositories. | |
17:1.0.1.1.1.0.6.44 | SECTION 1.50-1.51
| 1.50-1.51 [Reserved] | |
17:1.0.1.1.1.0.6.45 | SECTION 1.52
| 1.52 Self-regulatory organization adoption and surveillance of minimum financial requirements. | |
17:1.0.1.1.1.0.6.46 | SECTION 1.53
| 1.53 [Reserved] | |
17:1.0.1.1.1.0.6.47 | SECTION 1.54
| 1.54 Contract market rules submitted to and approved or not disapproved by the Secretary of Agriculture. | |
17:1.0.1.1.1.0.6.48 | SECTION 1.55
| 1.55 Public disclosures by futures commission merchants. | |
17:1.0.1.1.1.0.6.49 | SECTION 1.56
| 1.56 Prohibition of guarantees against loss. | |
17:1.0.1.1.1.0.6.50 | SECTION 1.57
| 1.57 Operations and activities of introducing brokers. | |
17:1.0.1.1.1.0.6.51 | SECTION 1.58
| 1.58 Gross collection of exchange-set margins. | |
17:1.0.1.1.1.0.6.52 | SECTION 1.59
| 1.59 Activities of self-regulatory organization employees, governing board members, committee members, and consultants. | |
17:1.0.1.1.1.0.6.53 | SECTION 1.60
| 1.60 Pending legal proceedings. | |
17:1.0.1.1.1.0.6.54 | SECTION 1.61-1.62
| 1.61-1.62 [Reserved] | |
17:1.0.1.1.1.0.6.55 | SECTION 1.63
| 1.63 Service on self-regulatory organization governing boards or committees by persons with disciplinary histories. | |
17:1.0.1.1.1.0.6.56 | SECTION 1.64
| 1.64 Composition of various self-regulatory organization governing boards and major disciplinary committees. | |
17:1.0.1.1.1.0.6.57 | SECTION 1.65
| 1.65 Notice of bulk transfers and disclosure obligations to customers. | |
17:1.0.1.1.1.0.6.58 | SECTION 1.66
| 1.66 No-action positions with respect to floor traders. | |
17:1.0.1.1.1.0.6.59 | SECTION 1.67
| 1.67 Notification of final disciplinary action involving financial harm to a customer. | |
17:1.0.1.1.1.0.6.60 | SECTION 1.68
| 1.68 [Reserved] | |
17:1.0.1.1.1.0.6.61 | SECTION 1.69
| 1.69 Voting by interested members of self-regulatory organization governing boards and various committees. | |
17:1.0.1.1.1.0.6.62 | SECTION 1.70
| 1.70 Notification of State enforcement actions brought under the Commodity Exchange Act. | |
17:1.0.1.1.1.0.6.63 | SECTION 1.71
| 1.71 Conflicts of interest policies and procedures by futures commission merchants and introducing brokers. | |
17:1.0.1.1.1.0.6.64 | SECTION 1.72
| 1.72 Restrictions on customer clearing arrangements. | |
17:1.0.1.1.1.0.6.65 | SECTION 1.73
| 1.73 Clearing futures commission merchant risk management. | |
17:1.0.1.1.1.0.6.66 | SECTION 1.74
| 1.74 Futures commission merchant acceptance for clearing. | |
17:1.0.1.1.1.0.6.67 | SECTION 1.75
| 1.75 Delegation of authority to the Director of the Division of Clearing and Risk to establish an alternative compliance schedule to comply with futures commission merchant acceptance for clearing. | |
17:1.0.1.1.1.0.7.68.1 | APPENDIX Appendix A
| Appendix A to Part 1 [Reserved] | |
17:1.0.1.1.1.0.7.68.2 | APPENDIX Appendix B
| Appendix B to Part 1 - Fees for Contract Market Rule Enforcement Reviews and Financial Reviews | |
17:1.0.1.1.1.0.7.68.3 | APPENDIX Appendix C
| Appendix C to Part 1 [Reserved] | |