Browse as ListSearch Within- Section 240.17a-1 - Recordkeeping rule for national securities exchanges, national securities associations, registered clearing agencies and the Municipal Securities Rulemaking Board
- Section 240.17a-2 - Recordkeeping requirements relating to stabilizing activities
- Section 240.17a-3 - Records to be made by certain exchange members, brokers and dealers
- Section 240.17a-4 - Records to be preserved by certain exchange members, brokers and dealers
- Section 240.17a-5 - Reports to be made by certain brokers and dealers
- Section 240.17a-6 - Right of national securities exchange, national securities association, registered clearing agency or the Municipal Securities Rulemaking Board to destroy or dispose of documents
- Section 240.17a-7 - Records of non-resident brokers and dealers
- Section 240.17a-8 - Financial recordkeeping and reporting of currency and foreign transactions
- Section 240.17a-9T - Records to be made and retained by certain exchange members, brokers and dealers
- Section 240.17a-10 - Report on revenue and expenses
- Section 240.17a-11 - Notification provisions for brokers and dealers
- Section 240.17a-12 - Reports to be made by certain OTC derivatives dealers
- Section 240.17a-13 - Quarterly security counts to be made by certain exchange members, brokers, and dealers
- Section 240.17a-14 - Form CRS, for preparation, filing and delivery of Form CRS
- Section 240.17a-18 - Reserved
- Section 240.17a-19 - Form X-17A-19 Report by national securities exchanges and registered national securities associations of changes in the membership status of any of their members
- Section 240.17a-21 - Reports of the Municipal Securities Rulemaking Board
- Section 240.17a-22 - Supplemental material of registered clearing agencies
- Section 240.17a-25 - Electronic submission of securities transaction information by exchange members, brokers, and dealers
- Section 240.17d-1 - Examination for compliance with applicable financial responsibility rules
- Section 240.17d-2 - Program for allocation of regulatory responsibility
- Section 240.17f-1 - Requirements for reporting and inquiry with respect to missing, lost, counterfeit or stolen securities
- Section 240.17f-2 - Fingerprinting of securities industry personnel