Skip to content.Skip to side navigation. Quick Navigation: Skip to content.Skip to side navigation.
GPO Access Home Page.
Jump to selected topic.
Navigation Bar
About.Help. A-Z Resource List. Locate a Federal Depository Library. Buy Publications. Legislative. Executive. Judicial.
National Archives and Records Administration logo.
Database Features.
Browse
Simple Search
Advanced Search
* Boolean
  * Proximity
Search History
Search Tips
Corrections

Latest Updates

User Info
FAQs
Agency List
Incorporation by Reference
e-CFR Main Page
Related Resources
Code of Federal Regulations
Federal Register
List of CFR
Sections Affected
Regulations.gov
Unified Agenda
All NARA Publications
About Government.
Ben's Guide Logo.
Get Adobe Reader

blue pill
e-CFR Data is current as of February 4, 2010

TITLE 17--Commodity and Securities Exchanges

CHAPTER I--COMMODITY FUTURES TRADING COMMISSION

PART 41--SECURITY FUTURES PRODUCTS

rule

Subpart A--GENERAL PROVISIONS

§41.1
Definitions.
§41.2
Required records.
§41.3
Application for an exemptive order pursuant to section 4f(a)(4)(B) of the Act.
§§41.4-41.9
[Reserved]
rule

Subpart B--NARROW-BASED SECURITY INDEXES

§41.11
Method for determining market capitalization and dollar value of average daily trading volume; application of the definition of narrow-based security index.
§41.12
Indexes underlying futures contracts trading for fewer than 30 days.
§41.13
Futures contracts on security indexes trading on or subject to the rules of a foreign board of trade.
§41.14
Transition period for indexes that cease being narrow-based security indexes.
§41.15
Exclusion from definition of narrow-based security index for indexes composed of debt securities.
rule

Subpart C--REQUIREMENTS AND STANDARDS FOR LISTING SECURITY FUTURES PRODUCTS

§41.21
Requirements for underlying securities.
§41.22
Required certifications.
§41.23
Listing of security futures products for trading.
§41.24
Rule amendments to security futures products.
§41.25
Additional conditions for trading for security futures products.
§41.27
Prohibition of dual trading in security futures products by floor brokers.
rule

Subpart D--NOTICE-DESIGNATED CONTRACT MARKETS IN SECURITY FUTURES PRODUCTS

§41.31
Notice-designation requirements.
§41.32
Continuing obligations.
§41.33
Applications for exemptive orders.
§41.34
Exempt Provisions.
rule

Subpart E--CUSTOMER ACCOUNTS AND MARGIN REQUIREMENTS

§41.41
Security futures products accounts.
§41.42
Customer margin requirements for security futures--authority, purpose, interpretation, and scope.
§41.43
Definitions.
§41.44
General provisions.
§41.45
Required margin.
§41.46
Type, form and use of margin.
§41.47
Withdrawal of margin.
§41.48
Undermargined accounts.
§41.49
Filing proposed margin rule changes with the Commission.
rule