FDIC Revises Proposed Rule on Bank Subsidiary Securities Activities
Advanced Search
Select up to three search categories and corresponding keywords using the fields to the right. Refer to the Help section for more detailed instructions.

Search our Collections & Repository

For very narrow results

When looking for a specific result

Best used for discovery & interchangable words

Recommended to be used in conjunction with other fields

Dates

to

Document Data
Library
People
Clear All
Clear All

For additional assistance using the Custom Query please check out our Help Page

i

FDIC Revises Proposed Rule on Bank Subsidiary Securities Activities

Filetype[PDF-33.07 KB]



Details:

  • Publisher's site:
  • Corporate Authors:
  • Content Notes:
    References 47 FR 38984 (9/3/1982), 47 FR 42141 (9/20/1982), and 48 FR 22155 (5/9/1983)
  • Subject:
  • Format:
  • Press Release Number:
    PR-30-84
  • Release Date:
    04/23/1984
  • Agencies Involved:
    Federal Deposit Insurance Corporation (FDIC);Securities and Exchange Commission (SEC);Office of Management and Budget (OMB);
  • Fdic Employee Involved:
    Hoyle L. Robinson
  • Law Involved:
    Glass-Steagall Act of 1933;Federal Reserve Act;Garn-St. Germain Depository Institutions Act of 1982;Bank Holding Company Act of 1956;Bank Holding Company Act Amendments of 1970;Paperwork Reduction Act;Regulatory Flexibility Act;
  • Other Notable People Involved:
    John S. R. Shad;Bevis Longstreth;
  • Other Institutions Involved:
    Investment Company Institute (ICI);National Association of Securities Dealers (NASD);
  • Related Regulation:
    12 CFR Part 337;5 CFR Part 1320;12 CFR Part 215.3;
  • Source:
    FDIC Library Collection
  • Main Document Checksum:
  • Download URL:
  • File Type:

You May Also Like

Checkout today's featured content at archive.fdic.gov

Version 3.26.1