Whenever an agent of depository sells securities in a security pool (non-REN) in accordance with a conversion and payment instruction, such agent of depository shall sell such securities in the order of dates of maturity, commencing with the security bearing the earliest date of maturity.
Cal. Code Regs. Tit. 2, § 16009.4.4
Note: Authority cited: Section 53661, Government Code. Reference: Section 53665, Government Code.