12 C.F.R. PART 335--SECURITIES OF NONMEMBER INSURED BANKS
TITLE 12--Banks and Banking
CHAPTER III--FEDERAL DEPOSIT INSURANCE CORPORATION
SUBCHAPTER B--REGULATIONS AND STATEMENTS OF GENERAL POLICY
PART 335--SECURITIES OF NONMEMBER INSURED BANKS
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| Scope of part, authority and OMB control number.
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| Listing standards related to audit committees.
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| Securities exempted from registration.
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| Registration and reporting.
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| Forms for registration of securities; optional forms for small business issuers; and incorporation of Regulation FD (Fair Disclosure).
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| Certification, suspension of trading, and removal from listing by exchanges.
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| Forms for notification of action taken by national securities exchanges.
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| Exemptions; terminations; and definitions.
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| Reports of issuers of securities registered pursuant to section 12.
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| Forms for annual, quarterly, current, and other reports of issuers.
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| Maintenance of records and issuer's representations in connection with required reports.
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| Acquisition statements, acquisition of securities by issuers, and other matters.
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| Solicitations of proxies.
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| Requirements of section 16 of the Securities Exchange Act of 1934.
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| Initial statement of beneficial ownership of securities (Form 3).
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| Statement of changes in beneficial ownership of securities (Form 4).
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| Annual statement of beneficial ownership of securities (Form 5).
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| Filing requirements, public reference, and confidentiality.
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| Inapplicable SEC regulations; FDIC substituted regulations; additional information.
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| Delegation of authority to act on matters with respect to disclosure laws and regulations.
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