The Electronic Code of Federal Regulations (e-CFR)
is a regularly updated, unofficial editorial compilation of CFR material and Federal Register amendments produced by the National Archives and Records Administration's Office of the Federal Register (OFR) and the Government Printing Office.
Parallel Table of Authorities and Rules for the Code of Federal Regulations and the United States Code Text
Find, review, and submit comments on Federal rules that are open for comment and published in the Federal Register using Regulations.gov.
Electronic Code of Federal Regulations
e-CFR Data is current as of December 18, 2014
Title 17: Commodity and Securities Exchanges
PART 276—INTERPRETATIVE RELEASES RELATING TO THE INVESTMENT ADVISERS ACT OF 1940 AND GENERAL RULES AND REGULATIONS THEREUNDER
|Subject||Release No.||Date||Fed. Reg. Vol. and Page|
|Opinion of General Counsel relating to section 202(a)(11)(C) of the Investment Advisers Act of 1940||2||Oct. 28, 1940||11 FR 10996.|
|Opinion of the General Counsel relating to the use of the name “investment counsel” under section 208(c) of the Investment Advisers Act of 1940||8||Dec. 12, 1940|| Do.|
|Opinion of Director of Trading and Exchange Division, relating to section 206 of the Investment Advisers Act of 1940, section 17(a) of the Securities Act of 1933, and sections 10(b) and 15(c)(1) of the Securities Exchange Act of 1934||40||Feb. 5, 1945||11 FR 10997.|
|Opinion of the General Counsel relating to the use of “hedge clauses” by brokers, dealers, investment advisers, and others||58||Apr. 10, 1951||16 FR 3387.|
|Statement of the Commission to clarify the meaning of “beneficial ownership of securities” as relates to beneficial ownership of securities held by family members||194||Jan. 25, 1966||31 FR 1005.|
|Statement of the Commission setting the date of May 1, 1966 after which filings must reflect beneficial ownership of securities held by family members||196||Feb. 14, 1966||31 FR 3175.|
|Statement of the Commission describing nature of examination required to be made of all funds and securities held by an investment adviser and the content of related accountant's certificate||201||June 1, 1966||31 FR 7821.|
|Publication of the Commission's procedure to be followed if requests are to be met for no action or interpretative letters and responses thereto to be made available for public use||281||Jan. 25, 1971||36 FR 2600.|
|Commission's statement of factors to be considered in connection with investment company advisory contracts containing incentive arrangements||315||Apr. 19, 1972||37 FR 7690.|
|Applicability of Commission's policy statement on the future structure of securities markets to selection of brokers and payment of commissions by institutional managers||318||May 18, 1972||37 FR 9988.|
|Commission's decisions on advisory committee recommendations regarding commencement of enforcement proceedings and termination of staff investigations||336||Mar. 1, 1973||38 FR 5457.|
|Commission's statement on obligations of underwriters with respect to discretionary accounts||377||June 29, 1973||38 FR 17201.|
|Applicability of investment advisers act to certain publications||563||Jan. 10, 1977||42 FR 2953;|
42 FR 8140.
|Contingent advisory compensation arrangements||721||May 16, 1980||45 FR 34876.|
|Applicability of investment advisers act to financial planners, pension consultants, and other persons who provide investment advisory services as an integral component of other financially related services||770||Aug. 13, 1981||46 FR 41771.|
|Statement of position of Commission's Division of Investment Management||969||Apr. 30, 1985||50 FR 19341.|
|Statement of staff interpretive position regarding certain rules and forms; uniform registration, disclolsure, and reporting requirements||1000||Dec. 3, 1985||50 FR 49835. |
|Applicability of the investment Advisers Act to financial planners, pension consultants, and other persons who provide investment advisory services as a component of other financial services||1092||Oct. 8, 1987||52 FR 38400.|
|Registration of Successors to Broker-Dealers and Investment Advisors||1357||Jan. 4, 1993||58 FR 11.|
|Use of electronic media for delivery purposes||1562||May 9, 1996||61 FR 24651.|
|Statement of the Commission Regarding Use of Internet Web Sites to Offer Securities, Solicit Securities Transactions or Advertise Investment Services Offshore||1710||Mar. 23, 1998||63 FR 14814|
|Interpretation of Section 206(3) of the Investment Advisers Act of 1940||1732||July 17, 1998||63 FR 39508|
|Statement of the Commission Regarding Disclosure of Year 2000 Issues and Consequences by Public Companies, Investment Advisers, Investment Companies, and Municipal Securities Issuers||1738||July 29, 1998||63 FR 41404|
|Release No. IA-2969|| ||Dec. 30, 2009||75 FR 1494|
For questions or comments regarding e-CFR editorial content, features, or design, email firstname.lastname@example.org.
For questions concerning e-CFR programming and delivery issues, email email@example.com.