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Title 17

Displaying title 17, up to date as of 7/15/2026. Title 17 was last amended 6/25/2026.
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Title 17Commodity and Securities ExchangesPart / Section
Chapter ICommodity Futures Trading Commission1 – 199
Part 1General Regulations Under the Commodity Exchange Act1.1 – 1.75
Miscellaneous1.40 – 1.75
§ 1.40Crop, market information letters, reports; copies required.
§ 1.41Designation of hedging accounts.
§ 1.42Delivery accounts.
§ 1.43Letters of credit as collateral.
§ 1.44Margin adequacy and treatment of separate accounts.
§ 1.45 [Reserved]
§ 1.46Application and closing out of offsetting long and short positions.
§§ 1.47-1.48 [Reserved]
§ 1.49Denomination of customer funds and location of depositories.
§§ 1.50-1.51 [Reserved]
§ 1.52Self-regulatory organization adoption and surveillance of minimum financial requirements.
§ 1.53 [Reserved]
§ 1.54Contract market rules submitted to and approved or not disapproved by the Secretary of Agriculture.
§ 1.55Public disclosures by futures commission merchants.
§ 1.56Prohibition of guarantees against loss.
§ 1.57Operations and activities of introducing brokers.
§ 1.58Gross collection of exchange-set margins.
§ 1.59Activities of self-regulatory organization employees, governing board members, committee members, and consultants.
§ 1.60Pending legal proceedings.
§§ 1.61-1.62 [Reserved]
§ 1.63Service on self-regulatory organization governing boards or committees by persons with disciplinary histories.
§ 1.64Composition of various self-regulatory organization governing boards and major disciplinary committees.
§ 1.65Notice of bulk transfers and disclosure obligations to customers.
§ 1.66No-action positions with respect to floor traders.
§ 1.67Notification of final disciplinary action involving financial harm to a customer.
§ 1.68 [Reserved]
§ 1.69Voting by interested members of self-regulatory organization governing boards and various committees.
§ 1.70Notification of State enforcement actions brought under the Commodity Exchange Act.
§ 1.71Conflicts of interest policies and procedures by futures commission merchants and introducing brokers.
§ 1.72Restrictions on customer clearing arrangements.
§ 1.73Clearing futures commission merchant risk management.
§ 1.74Futures commission merchant acceptance for clearing.
§ 1.75Delegation of authority to the Director of the Division of Clearing and Risk to establish an alternative compliance schedule to comply with futures commission merchant acceptance for clearing.
Appendix A to Part 1
Treatment of Certain Foreign Currencies for Margin Adequacy Requirements Under Regulation 1.44
Appendix B to Part 1
Fees for Contract Market Rule Enforcement Reviews and Financial Reviews
Appendix C to Part 1
Futures Commission Merchant Acknowledgment Letter for CFTC Regulation 1.20 Customer Segregated Account
Appendix D to Part 1
Derivatives Clearing Organization Acknowledgment Letter for CFTC Regulation 1.20 Customer Segregated Account
Appendix E to Part 1
Government Money Market Fund Prospectus Provisions Acceptable for Compliance with § 1.25(c)(5)
Appendix F to Part 1
Futures Commission Merchant Acknowledgment Letter for CFTC Regulation 1.26 Customer Segregated Government Money Market Fund Account
Appendix G to Part 1
Derivatives Clearing Organization Acknowledgment Letter for CFTC Regulation 1.26 Customer Segregated Government Money Market Fund Account