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Federal regulations · Through 2026-08-25 · Newer source version available

12 CFR 13.1: Scope.

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Where this section sits in the code
  1. Title 12—Banks and Banking
  2. CHAPTER I—COMPTROLLER OF THE CURRENCY, DEPARTMENT OF THE TREASURY
  3. PART 13—GOVERNMENT SECURITIES SALES PRACTICES

This part applies to national banks that have filed notice as, or are required to file notice as, government securities brokers or dealers pursuant to section 15C of the Securities Exchange Act (15 U.S.C. 78o-5) and Department of the Treasury rules under section 15C (17 CFR 400.1(d) and part 401).

Collected 2026-08-27T02:24:16Z. Source file · JSON

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