FDIC Revises Proposed Rule on Bank Subsidiary Securities Activities
Supporting Files
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04/23/1984
Details
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Publisher's site:
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Corporate Authors:
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Content Notes:References 47 FR 38984 (9/3/1982), 47 FR 42141 (9/20/1982), and 48 FR 22155 (5/9/1983)
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Press Release Number:PR-30-84
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Release Date:04/23/1984
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Agencies Involved:Federal Deposit Insurance Corporation (FDIC) ; Securities and Exchange Commission (SEC) ; Office of Management and Budget (OMB)
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Fdic Employee Involved:Hoyle L. Robinson
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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
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Other Notable People Involved:John S. R. Shad ; Bevis Longstreth
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Other Institutions Involved:Investment Company Institute (ICI) ; National Association of Securities Dealers (NASD)
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Related Regulation:12 CFR Part 337 ; 5 CFR Part 1320 ; 12 CFR Part 215.3
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Source:FDIC Library Collection
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Main Document Checksum:urn:sha256:dc57706d754a738268d573dc642ca5d12ff625516e20b3c0552e11191b54b753
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