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

12 CFR 368.3: Business conduct.

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Where this section sits in the code
  1. Title 12—Banks and Banking
  2. CHAPTER III—FEDERAL DEPOSIT INSURANCE CORPORATION
  3. SUBCHAPTER B—REGULATIONS AND STATEMENTS OF GENERAL POLICY
  4. PART 368—GOVERNMENT SECURITIES SALES PRACTICES

A bank that is a government securities broker or dealer shall observe high standards of commercial honor and just and equitable principles of trade in the conduct of its business as a government securities broker or dealer.

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

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