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| SEC | RIN: 3235-AL27 | Publication ID: Fall 2017 |
| Title: Personalized Investment Advice Standard of Conduct | |
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Abstract:
The Division is considering making recommendations, jointly with the Division of Trading and Markets, regarding standards of conduct for investment professionals. |
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| Agency: Securities and Exchange Commission(SEC) | Priority: Substantive, Nonsignificant |
| RIN Status: Previously published in the Unified Agenda | Agenda Stage of Rulemaking: Proposed Rule Stage |
| Major: Undetermined | Unfunded Mandates: No |
| EO 14192 Designation: Independent agency | |
| CFR Citation: 17 CFR 275.211(g)-1 (new) | |
| Legal Authority: 15 U.S.C. 80b-11(g) | |
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Legal Deadline:
None |
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Timetable:
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| Regulatory Flexibility Analysis Required: Undetermined | Government Levels Affected: None |
| Federalism: Undetermined | |
| Included in the Regulatory Plan: No | |
| RIN Information URL: www.sec.gov/rules/other/2013/34-69013.pdf | |
| RIN Data Printed in the FR: No | |
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Agency Contact: Emily Russell Division of Trading and Markets Securities and Exchange Commission 100 F Street NE, Washington, DC 20549 Phone:202 551-5500 Email: russelle@sec.gov Holly Hunter-Ceci Division of Investment Management Securities and Exchange Commission 100 F Street NE, Washington, DC 20549 Phone:202 551-6825 Email: hunter-cecih@sec.gov |
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