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SEC | RIN: 3235-AG42 | Publication ID: Fall 1995 |
Title: Disclosure of Market and Credit Risk Exposures Including Derivatives, Structured Notes, Commodity Contracts, and Other Similar Instruments | |
Abstract: The Office of the Chief Accountant is considering recommending that the Commission propose rules to require registrants to provide disclosures about derivative activities and exposures to market and credit risk. | |
Agency: Securities and Exchange Commission(SEC) | Priority: Substantive, Nonsignificant |
RIN Status: Previously published in the Unified Agenda | Agenda Stage of Rulemaking: Proposed Rule Stage |
CFR Citation: 17 CFR 229 17 CFR 210 | |
Legal Authority: 15 USC 77a et seq 15 USC 78a et seq |
Timetable:
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Regulatory Flexibility Analysis Required: Undetermined | Government Levels Affected: Undetermined |
Included in the Regulatory Plan: No | |
Agency Contact: Russell Mallett Office of the Chief Accountant Securities and Exchange Commission Phone:202 942-4400 |