Registration procedures; notice of filing; other regulatory agencies
Proposed rule changes; notice; proceedings
Approval process.—
Approval process established.—
In general .—
Extension of time period .—
Proceedings.—
Notice and hearing .—
Order of approval or disapproval.—
In general .—
Extension of time period .—
Standards for approval and disapproval.—
Approval .—
Disapproval .—
Time for approval .—
Result of failure to institute or conclude proceedings .—
Publication date based on federal register publishing .—
Rulemaking.—
In general .—
Notice and comment not required .—
Security futures product rule changes.—
Filing required .—
Filing with cftc .—
Abrogation of rule changes .—
Review of resubmitted abrogated rules.—
Proceedings .—
Grounds for approval .—
Decimal pricing .—
Consultation with cftc.—
Consultation required .—
Responses to cftc comments and findings .—
11 So in original. Two pars. (10) have been enacted. Rule of construction relating to filing date of proposed rule changes.—
In general .—
Exception .—
Amendment by Commission of rules of self-regulatory organizations
Notice of disciplinary action taken by self-regulatory organization against a member or participant; review of action by appropriate regulatory agency; procedure
Disposition of review; cancellation, reduction, or remission of sanction
Dismissal of review proceeding
In any proceeding to review the denial of membership or participation in a self-regulatory organization to any applicant, the barring of any person from becoming associated with a member of a self-regulatory organization, or the prohibition or limitation by a self-regulatory organization of any person with respect to access to services offered by the self-regulatory organization or any member thereof, if the appropriate regulatory agency for such applicant or person, after notice and opportunity for hearing (which hearing may consist solely of consideration of the record before the self-regulatory organization and opportunity for the presentation of supporting reasons to dismiss the proceeding or set aside the action of the self-regulatory organization) finds that the specific grounds on which such denial, bar, or prohibition or limitation is based exist in fact, that such denial, bar, or prohibition or limitation is in accordance with the rules of the self-regulatory organization, and that such rules are, and were applied in a manner, consistent with the purposes of this chapter, such appropriate regulatory agency, by order, shall dismiss the proceeding. If such appropriate regulatory agency does not make any such finding or if it finds that such denial, bar, or prohibition or limitation imposes any burden on competition not necessary or appropriate in furtherance of the purposes of this chapter, such appropriate regulatory agency, by order, shall set aside the action of the self-regulatory organization and require it to admit such applicant to membership or participation, permit such person to become associated with a member, or grant such person access to services offered by the self-regulatory organization or member thereof.
Compliance with rules and regulations
Suspension or revocation of self-regulatory organization’s registration; censure; other sanctions
Appointment of trustee
If a proceeding under subsection (h)(1) of this section results in the suspension or revocation of the registration of a clearing agency, the appropriate regulatory agency for such clearing agency may, upon notice to such clearing agency, apply to any court of competent jurisdiction specified in section 78u(d) or 78aa of this title for the appointment of a trustee. In the event of such an application, the court may, to the extent it deems necessary or appropriate, take exclusive jurisdiction of such clearing agency and the records and assets thereof, wherever located; and the court shall appoint the appropriate regulatory agency for such clearing agency or a person designated by such appropriate regulatory agency as trustee with power to take possession and continue to operate or terminate the operations of such clearing agency in an orderly manner for the protection of participants and investors, subject to such terms and conditions as the court may prescribe.
June 6, 1934, ch. 40448 Stat. 898Pub. L. 87–19675 Stat. 465Pub. L. 87–56176 Stat. 247Pub. L. 90–43882 Stat. 453Pub. L. 91–9483 Stat. 141Pub. L. 91–41084 Stat. 862Pub. L. 94–29, § 1689 Stat. 146Pub. L. 103–202, title I, § 106(c)107 Stat. 2350Pub. L. 105–353, title III, § 301(b)(11)112 Stat. 3236Pub. L. 106–554, § 1(a)(5) [title II, § 202(b), (c)]114 Stat. 2763Pub. L. 111–203, title VII, § 717(c)124 Stat. 1652(, title I, § 19, ; , , ; , , ; , , ; , , ; , , ; , , ; , , ; , , ; , , , 2763A–418, 2763A–421; , title IX, §§ 916, 929F(e), , , 1833, 1854.)
Editorial Notes
References in Text
section 78a of this titleThis chapter, referred to in subsecs. (a)(1), (b)(2)(C)(i), (3)(C), (7)(C), (8), (c), (d)(1), (e)(1)(A), (2), (f), (g), and (h), was in the original “this title”. See References in Text note set out under .
act May 27, 1933, ch. 38, title I48 Stat. 74section 77a of this titleThe Securities Act of 1933, referred to in subsec. (h), is , , which is classified generally to subchapter I (§ 77a et seq.) of chapter 2A of this title. For complete classification of this Act to the Code, see and Tables.
act Aug. 22, 1940, ch. 68654 Stat. 847section 80b–20 of this titleThe Investment Advisers Act of 1940, referred to in subsec. (h), is title II of , , which is classified generally to subchapter II (§ 80b–1 et seq.) of chapter 2D of this title. For complete classification of this Act to the Code, see and Tables.
act Aug. 22, 1940, ch. 68654 Stat. 789section 80a–51 of this titleThe Investment Company Act of 1940, referred to in subsec. (h), is title I of , , which is classified generally to subchapter I (§ 80a–1 et seq.) of chapter 2D of this title. For complete classification of this Act to the Code, see and Tables.
Amendments
Pub. L. 111–203, § 916(b)(2)2010—Subsec. (b)(1). , substituted “as soon as practicable after the date of the filing” for “upon the filing”.
Pub. L. 111–203, § 916(a)Subsec. (b)(2). , added par. (2) and struck out former par. (2) which related to approval of rule change or institution of proceedings regarding disapproval of such change within thirty-five days of publication of notice or within such longer period as the Commission may designate up to ninety days of such date.
Pub. L. 111–203, § 916(c)(1)Subsec. (b)(3)(A). , substituted “shall take effect” for “may take effect” and inserted “on any person, whether or not the person is a member of the self-regulatory organization” after “charge imposed by the self-regulatory organization”.
Pub. L. 111–203, § 916(c)(2)Subsec. (b)(3)(C). , substituted second sentence for former second sentence which read as follows: “At any time within sixty days of the date of filing of such a proposed rule change in accordance with the provisions of paragraph (1) of this subsection, the Commission summarily may abrogate the change in the rules of the self-regulatory organization made thereby and require that the proposed rule change be refiled in accordance with the provisions of paragraph (1) of this subsection and reviewed in accordance with the provisions of paragraph (2) of this subsection, if it appears to the Commission that such action is necessary or appropriate in the public interest, for the protection of investors, or otherwise in furtherance of the purposes of this chapter.”, added third sentence, and substituted “this subparagraph” for “the preceding sentence” in last sentence.
Pub. L. 111–203, § 916(d)Subsec. (b)(4)(D). , amended subpar. (D) generally. Prior to amendment, subpar. (D) read as follows: “The Commission shall abrogate any change in the rules of such a clearing agency made by a proposed rule change which has taken effect pursuant to paragraph (3) of this subsection, require that the proposed rule change be refiled in accordance with the provisions of paragraph (1) of this subsection, and reviewed in accordance with the provisions of paragraph (2) of this subsection, if the appropriate regulatory agency for such clearing agency notifies the Commission within thirty days of the date of filing of such proposed rule change of such appropriate regulatory agency’s (i) determination that the rules of such clearing agency as so changed may be inconsistent with the safeguarding of securities or funds in the custody or control of such clearing agency or for which it is responsible and (ii) reasons for such determination.”
Pub. L. 111–203, § 916(b)(1)Subsec. (b)(10). , added par. (10) relating to rule of construction relating to filing date of proposed rule changes.
Pub. L. 111–203, § 717(c)section 8306 of this title, added par. (10) relating to stay pending determination whether product is a security pursuant to .
Pub. L. 111–203, § 929F(e)Subsec. (h)(4). , in introductory provisions, substituted “any person who is, or at the time of the alleged misconduct was, an officer or director” for “any officer or director” and “such person” for “such officer or director”.
Pub. L. 106–554, § 1(a)(5) [title II, § 202(b)(1)]2000—Subsec. (b)(7). , added par. (7).
Pub. L. 106–554, § 1(a)(5) [title II, § 202(b)(2)]Subsec. (b)(8). , added par. (8).
Pub. L. 106–554, § 1(a)(5) [title II, § 202(b)(3)]Subsec. (b)(9). , added par. (9).
Pub. L. 106–554, § 1(a)(5) [title II, § 202(c)]Subsec. (d)(3). , added par. (3).
Pub. L. 105–3531998—Subsec. (c)(5). realigned margins.
Pub. L. 103–202, § 106(c)(1)1993—Subsec. (b)(5), (6). , added pars. (5) and (6).
Pub. L. 103–202, § 106(c)(2)Subsec. (c)(5). , added par. (5).
Pub. L. 94–291975— amended section generally, substituting provisions covering the registration, responsibilities, and oversight of self-regulatory organizations by the Commission for provisions covering only the Commission’s powers with respect to exchanges and securities, with a view to consolidating and expanding the Commission’s oversight powers with respect to self-regulatory organizations, their members, participants, and officers, and with a view to giving the Commission identical powers over all self-regulatory organizations, including registered clearing agencies, and substantially strengthening the Commission’s ability to assure that these organizations carry out their statutory responsibilities.
Pub. L. 91–4101970—Subsec. (e)(1). substituted “” for “”.
Pub. L. 91–941969—Subsec. (e). substituted “” for “” in par. (1), and “$945,000” for “$875,000” in par. (4).
Pub. L. 90–4381968—Subsec. (e). added subsec. (e).
Pub. L. 87–5611962—Subsec. (d). substituted “” for “” and “$950,000” for “$750,000”.
Pub. L. 87–1961961—Subsec. (d). added subsec. (d).
Statutory Notes and Related Subsidiaries
Effective Date of 2010 Amendment
Pub. L. 111–203section 4 of Pub. L. 111–203section 5301 of Title 12Amendment by sections 916 and 929F(e) of effective 1 day after , except as otherwise provided, see , set out as an Effective Date note under , Banks and Banking.
section 717(c) of Pub. L. 111–203Pub. L. 111–203section 754 of Pub. L. 111–203section 1a of Title 7Amendment by effective on the later of 360 days after , or, to the extent a provision of subtitle A (§§ 711–754) of title VII of requires a rulemaking, not less than 60 days after publication of the final rule or regulation implementing such provision of subtitle A, see , set out as a note under , Agriculture.
Effective Date of 1975 Amendment
Pub. L. 94–29Pub. L. 94–29section 31(a) of Pub. L. 94–29section 78b of this titleAmendment by effective , except for amendment of subsec. (g) by which is effective 180 days after , see , set out as a note under .
Construction of 1993 Amendment
Pub. L. 103–202section 111 of Pub. L. 103–202oAmendment by not to be construed to govern initial issuance of any public debt obligation or to grant any authority to (or extend any authority of) the Securities and Exchange Commission, any appropriate regulatory agency, or a self-regulatory organization to prescribe any procedure, term, or condition of such initial issuance, to promulgate any rule or regulation governing such initial issuance, or to otherwise regulate in any manner such initial issuance, see , set out as a note under section 78–5 of this title.
Review of Regulatory Structures and Procedures With Respect to Penny Stocks; Report
Pub. L. 101–429, title V, § 510104 Stat. 95715 U.S.C. 78c(a)(51), , , directed Comptroller General, in consultation with Securities and Exchange Commission, to conduct a review of rules, procedures, facilities, and oversight and enforcement activities of self-regulatory organizations under Securities Exchange Act of 1934, with respect to penny stocks (within the meaning of ), and, within one year after , to submit a report on the review including a statement of findings and such recommendations as the Comptroller General considered appropriate with respect to legislative or administrative changes.
Executive Documents
Transfer of Functions
64 Stat. 1265section 78d of this titleFor transfer of functions of Securities and Exchange Commission, with certain exceptions, to Chairman of such Commission, see Reorg. Plan No. 10 of 1950, §§ 1, 2, eff. , 15 F.R. 3175, , set out under .