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Home Page > Executive Branch > Code of Federal Regulations > Electronic Code of Federal Regulations

e-CFR Data is current as of November 19, 2009
TITLE 12--Banks and Banking
CHAPTER II--FEDERAL RESERVE SYSTEM
SUBCHAPTER A--BOARD OF GOVERNORS OF THE FEDERAL RESERVE SYSTEM
PART 220--CREDIT BY BROKERS AND DEALERS (REGULATION T)
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| Authority, purpose, and scope. |
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| Special memorandum account. |
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| Broker-dealer credit account. |
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| Clearance of securities, options, and futures. |
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| Borrowing and lending securities. |
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| Requirements for the list of marginable OTC stocks and the list of foreign margin stocks. |
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| Supplement: margin requirements. |
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| Transactions of customers who are brokers or dealers. |
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| Ninety-day rule in special cash account. |
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| International Bank Securities. |
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| Assistance by Federal credit union to its members. |
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| Arranging for extensions of credit to be made by a bank. |
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| Necessity for prompt payment and delivery in special cash accounts. |
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| Exception to 90-day rule in special cash account. |
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| Time of payment for mutual fund shares purchased in a special cash account. |
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| Applicability of margin requirements to credit extended to corporation in connection with retirement of stock. |
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| Applicability of margin requirements to joint account between two creditors. |
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| ''Deep in the money put and call options'' as extensions of credit. |
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| Partial delayed issue contracts covering nonconvertible bonds. |
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| Installment sale of tax-shelter programs as ''arranging'' for credit. |
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| Independent broker/dealers arranging credit in connection with the sale of insurance premium funding programs. |
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| Treatment of simultaneous long and short positions in the same margin account when put or call options or combinations thereof on such stock are also outstanding in the account. |
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| Application of the arranging section to broker-dealer activities under SEC Rule 144A. |
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| Credit to brokers and dealers. |
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