{"data":{"id":"us/12-cfr-368.1","jurisdiction":"us","citation":"12 CFR 368.1","heading":"Scope.","body":"This part is applicable to state nonmember banks and insured state branches of foreign 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).","path":["Title 12—Banks and Banking","CHAPTER III—FEDERAL DEPOSIT INSURANCE CORPORATION","SUBCHAPTER B—REGULATIONS AND STATEMENTS OF GENERAL POLICY","PART 368—GOVERNMENT SECURITIES SALES PRACTICES"],"source_url":"https://www.ecfr.gov/api/versioner/v1/full/2026-08-25/title-12.xml","current_through":"2026-08-25","vintage":"","retrieved_at":"2026-08-27T02:24:16Z","sha256":"ccc6ac53813c6c2f9faeac6ae7d430ad93c7c437dc7e33f24b82f8179829470e","source_id":"us-cfr","stale":true,"prev":"us/12-cfr-367.20","next":"us/12-cfr-368.2"},"notice":"GroundRules: Original legal text. Not legal advice."}
