Code of Federal Regulations (Last Updated: November 8, 2024) |
Title 17 - Commodity and Securities Exchanges |
Chapter I - Commodity Futures Trading Commission |
Part 38 - Designated Contract Markets |
Subpart A - General Provisions |
§ 38.1 - Scope. |
§ 38.2 - Exempt provisions. |
§ 38.3 - Procedures for designation. |
§ 38.4 - Procedures for listing products and implementing contract market rules. |
§ 38.5 - Information relating to contract market compliance. |
§ 38.6 - Enforceability. |
§ 38.7 - Prohibited use of data collected for regulatory purposes. |
§ 38.8 - Listing of swaps on a designated contract market. |
§ 38.9 - Boards of trade operating both a designated contract market and a swap execution facility. |
§ 38.10 - Reporting of swaps traded on a designated contract market. |
§ 38.11 - Trade execution compliance schedule. |
§ 38.12 - Process for a designated contract market to make a swap available to trade. |
Subpart B - Designation as Contract Market |
§ 38.100 - Core Principle 1. |
Subpart C - Compliance With Rules |
§ 38.150 - Core Principle 2. |
§ 38.151 - Access requirements. |
§ 38.152 - Abusive trading practices prohibited. |
§ 38.153 - Capacity to detect and investigate rule violations. |
§ 38.154 - Regulatory services provided by a third party. |
§ 38.155 - Compliance staff and resources. |
§ 38.156 - Automated trade surveillance system. |
§ 38.157 - Real-time market monitoring. |
§ 38.158 - Investigations and investigation reports. |
§ 38.159 - Ability to obtain information. |
§ 38.160 - Additional sources for compliance. |
Subpart D - Contracts Not Readily Subject to Manipulation |
§ 38.200 - Core Principle 3. |
§ 38.201 - Additional sources for compliance. |
Subpart E - Prevention of Market Disruption |
§ 38.250 - Core Principle 4. |
§ 38.251 - General requirements. |
§ 38.252 - Additional requirements for physical-delivery contracts. |
§ 38.253 - Additional requirements for cash-settled contracts. |
§ 38.254 - Ability to obtain information. |
§ 38.255 - Risk controls for trading. |
§ 38.256 - Trade reconstruction. |
§ 38.257 - Regulatory service provider. |
§ 38.258 - Additional sources for compliance. |
Subpart F - Position Limitations or Accountability |
§ 38.300 - Core Principle 5. |
§ 38.301 - Position limitations and accountability. |
Subpart G - Emergency Authority |
§ 38.350 - Core Principle 6. |
§ 38.351 - Additional sources for compliance. |
Subpart H - Availability of General Information |
§ 38.400 - Core Principle 7. |
§ 38.401 - General requirements. |
Subpart I - Daily Publication of Trading Information |
§ 38.450 - Core Principle 8. |
§ 38.451 - Reporting of trade information. |
Subpart J - Execution of Transactions |
§ 38.500 - Core Principle 9. |
Subpart K - Trade Information |
§ 38.550 - Core Principle 10. |
§ 38.551 - Audit trail required. |
§ 38.552 - Elements of an acceptable audit trail program. |
§ 38.553 - Enforcement of audit trail requirements. |
Subpart L - Financial Integrity of Transactions |
§ 38.600 - Core Principle 11. |
§ 38.601 - Mandatory clearing. |
§ 38.602 - General financial integrity. |
§ 38.603 - Protection of customer funds. |
§ 38.604 - Financial surveillance. |
§ 38.605 - Requirements for financial surveillance program. |
§ 38.606 - Financial regulatory services provided by a third party. |
§ 38.607 - Direct access. |
Subpart M - Protection of Markets and Market Participants |
§ 38.650 - Core Principle 12. |
§ 38.651 - Protection of markets and market participants. |
Subpart N - Disciplinary Procedures |
§ 38.700 - Core Principle 13. |
§ 38.701 - Enforcement staff. |
§ 38.702 - Disciplinary panels. |
§ 38.703 - Notice of charges. |
§ 38.704 - Right to representation. |
§ 38.705 - Answer to charges. |
§ 38.706 - Denial of charges and right to hearing. |
§ 38.707 - Hearings. |
§ 38.708 - Decisions. |
§ 38.709 - Final decisions. |
§ 38.710 - Disciplinary sanctions. |
§ 38.711 - Warning letters. |
§ 38.712 - Additional sources for compliance. |
Subpart O - Dispute Resolution |
§ 38.750 - Core Principle 14. |
§ 38.751 - Additional sources for compliance. |
Subpart P - Governance Fitness Standards |
§ 38.800 - Core Principle 15. |
§ 38.801 - Additional sources for compliance. |
Subpart Q - Conflicts of Interest |
§ 38.850 - Core Principle 16. |
§ 38.851 - Additional sources for compliance. |
Subpart R - Composition of Governing Boards of Contract Markets |
§ 38.900 - Core Principle 17. |
Subpart S - Recordkeeping |
§ 38.950 - Core Principle 18. |
§ 38.951 - Additional sources for compliance. |
Subpart T - Antitrust Considerations |
§ 38.1000 - Core Principle 19. |
§ 38.1001 - Additional sources for compliance. |
Subpart U - System Safeguards |
§ 38.1050 - Core Principle 20. |
§ 38.1051 - General requirements. |
Subpart V - Financial Resources |
§ 38.1100 - Core Principle 21. |
§ 38.1101 - General requirements. |
Subpart W - Diversity of Board of Directors |
§ 38.1150 - Core Principle 22. |
Subpart X - Securities and Exchange Commission |
§ 38.1200 - Core Principle 23. |
§ 38.1201 - Additional sources for compliance. |
Appendix C - Demonstration of Compliance That a Contract Is Not Readily Susceptible to Manipulation |
Appendix A to Part 38 - Form DCM |
Appendix B to Part 38 - —Guidance on, and Acceptable Practices in, Compliance With Core Principles |
Appendix C to Part 38 - Demonstration of Compliance That a Contract Is Not Readily Susceptible to Manipulation |