§ 201.1001 - Adjustment of civil monetary penalties.  


Latest version.
  • § 201.1001 Adjustment of civil monetary penalties - 2016.

    As required by the

    .

    (a) For violations from December 10, 1996, through November 2, 2015: As required by the Inflation Adjustment Act of 1990, as amended by the Debt Collection Improvement Act of 1996, the Commission has adjusted the maximum amounts of all civil monetary penalties it administers under the Securities Act of 1933, the Securities Exchange Act of 1934, the Investment Company Act of 1940, the Investment Advisers Act of 1940, and certain penalties under the Sarbanes-Oxley Act of 2002 for inflation in the releases and prior regulations listed in the footnotes to Table I. The penalty amounts provided in Table I apply to violations of these statutes that occurred from December 10, 1996, through November 2, 2015, with each column listing the penalty amounts for violations that occurred in a particular time frame. To determine the penalty amounts for violations that occurred prior to December 10, 1996, please refer to the applicable statutory text. To determine penalty amounts for violations after November 2, 2015, please refer to paragraph (b) of this section.

    (b) For violations after November 2, 2015: The Federal Civil Penalties Inflation Adjustment Act, as amended by the Federal Civil Penalties Inflation Adjustment Act Improvements Act of 2015 (28 U.S.C. 2461 note), requires that civil monetary penalties be adjusted on an annual basis for inflation. Pursuant to this requirement, the maximum amounts of all civil monetary penalties under the Securities Act of 1933, the Securities Exchange Act of 1934, the Investment Company Act of 1940, and the Investment Advisers Act of 1940, and certain penalties under the Sarbanes-Oxley Act of 2002

    are

    will be adjusted annually for inflation

    in accordance with Table I to this subpart E. The adjustments set forth in Table I to this subpart E

    . Notice of these adjusted penalty amounts will be published by the Commission in the Federal Register on or before January 15 of each calendar year and will be available, along with the Commission's prior inflation adjustments, on the Commission's Web site at https://www.sec.gov/enforce/civil-penalties-inflation-adjustments.htm. The adjusted penalty amounts will apply to all penalties imposed after

    August 1, 2016, including to penalties imposed for violations that occur before August 1, 2016.

    Table I to Subpart E of Part 201 - Civil Monetary Penalty Inflation Adjustments

    the effective date of the adjustment (for the first day the adjustment is effective, the prior year's penalty amounts shall apply), for violations that occurred after November 2, 2015. The adjusted penalty amount each year will be the larger of:

    (1) The maximum penalty amount for the previous calendar year; or

    (2) An amount adjusted for inflation, calculated by multiplying the maximum penalty amount for the previous calendar year by the percentage by which the Consumer Price Index for all Urban Consumers (CPI–U) for the month of October preceding the current calendar year exceeds the CPI–U for the month of October of the calendar year two years prior to the current calendar year, adding that amount to the amount for the previous calendar year, and rounding the total to the nearest dollar.

    Table I to 201.1001—Civil Monetary Penalty Inflation Adjustments for Violations From December 10, 1996, Through November 2, 2015

    15 Maximum penalty amount when established or last adjusted Maximum penalty amount in effect on November 2, 2015 New adjusted maximum penalty amount effective August 1, 2016
    U.S. Code citation Civil monetary penalty
    description
    Year penalty amount was established or last adjusted *
    Securities and Exchange Commission:
    Date of violation and corresponding penalty
    Dec. 10, 1996–
    Feb. 2, 2001i
    Feb. 3, 2001–
    Feb. 14, 2005ii
    Feb. 15, 2005–
    Mar. 3, 2009iii
    Mar. 4, 2009–
    Mar. 5, 2013iv
    Mar. 6, 2013–
    Nov. 2, 2015v
    15 U.S.C. 77h-1–1(g) (Securities Act Sec. 8A(g))For natural person 2010$7,500$7,500$8,156
    For any other person
    2010N/A
    N/A
    N/A
    N/A
    N/A
    N/A
    vi $7,500
    vi 75,000
    $7,500
    80,000
    81,559 For natural person/fraud2010N/AN/AN/A vi 75,00080,000 81,559
    For any other person/fraud2010N/AN/AN/A vi 375,000400,000 407,794
    For natural person/fraud/substantial losses or risk of losses to others or gains to self2010N/AN/AN/A vi 150,000160,000 163,118
    For any other person/fraud/substantial losses or risk of losses to others or gain to self2010N/AN/AN/A vi 725,000775,000 788,401
    15 U.S.C. 77t(d) (Securities Act Sec. 20(d))For natural person 19905,000
    For any other person
    $5,500
    55,000
    $6,500
    60,000
    $6,500
    65,000
    7,500 8,908 For any other person199050,000
    75,000
    7,500
    80,000
    89,078
    For natural person/fraud19905055,00060,00065,00075,00080,000 89,078
    For any other person/fraud1990250275,000300,000325,000375,000400,000 445,390
    For natural person/fraud/substantial losses or risk of losses to others1990100110,000120,000130,000150,000160,000 178,156
    For any other person/fraud/substantial losses or risk of losses to others1990500550,000775600,000890,780
    15 U.S.C. 78ff(b)Exchange Act/failure to file information documents, reports1936100210525
    15 U.S.C. 78ff(c)(1)(B)Foreign Corrupt Practices - any issuer198810,00016,00019,787
    650,000725,000775,000
    15 U.S.C. 78ff78u(cd)(2)(B)Foreign Corrupt Practices - any agent or stockholder acting on behalf of issuer198810,00016,00019,787
    15 U.S.C. 78u-1(a)(3)Insider Trading - controlling person19881,000,0001,525,0001,978,690
    15 U.S.C. 78u-2For natural person19905,0007,5008,908
    For any other person199050,00080,00089,078 For natural person/fraud199050,00080,00089,078 3) (Exchange Act Sec. 21(d)(3))For natural person
    For any other person
    5,500
    55,000
    6,500
    60,000
    6,500
    65,000
    7,500
    75,000
    7,500
    80,000
    For natural person/fraud55,00060,00065,00075,00080,000
    For any other person/fraud1990250275,000300,000325,000375,000400,000 445,390
    For natural person/fraud/substantial losses or risk of losses to others or gains to self1990100110,000120,000130,000150,000160,000 178,156
    For any other person/fraud/substantial losses or risk of losses to others or gain to self1990500550,000600,000650,000725,000775,000 890,780
    15 U.S.C. 78u–1(da)(3) (Exchange Act Sec. 21A(a)(3))Insider Trading—controlling person1,100,0001,200,0001,275,0001,425,0001,525,000
    15 U.S.C. 78u–2 (Exchange Act Sec. 21B)For natural person 1990
    For any other person
    5,500
    55,000
    6,500
    60,000
    6,500
    65,000
    7,500 8,908 For any other person199050,000
    75,000
    7,500
    80,000
    89,078
    For natural person/fraud19905055,00060,00065,00075,00080,000 89,078
    For any other person/fraud1990250275,000300,000325,000375,000400,000 445,390
    For natural person/fraud/substantial losses or risk of losses to others1990100110,000120,000130,000150,000160,000 178,156
    For any other person/fraud/substantial losses or risk of losses to others1990500550,000600,000650,000725,000775,000 890,780
    15 U.S.C. 78ff(b) (Exchange Act Sec. 32(b))Exchange Act/failure to file information documents, reports110110110110210
    15 U.S.C. 80a-78ff(c)(1)(B) (Exchange Act Sec. 32(c)(1)(B))Foreign Corrupt Practices—any issuer11,00011,00011,00016,00016,000
    15 U.S.C. 78ff(c)(2)(B) (Exchange Act Sec. 32(c)(2)(B))Foreign Corrupt Practices—any agent or stockholder acting on behalf of issuer11,00011,00011,00016,00016,000
    15 U.S.C. 80a–9(d) (Investment Company Act Sec. 9(d))For natural person 1990
    For any other person
    5,500
    55,000
    6,500
    60,000
    6,500
    65,000
    7,500 8,908 For any other person199050,000
    75,000
    7,500
    80,000
    89,078
    For natural person/fraud19905055,00060,00065,00075,00080,000 89,078
    For any other person/fraud1990250275,000300,000325,000375,000400,000 445,390
    For natural person/fraud/substantial losses or risk of losses to others or gains to self1990100110,000120,000130,000150,000160,000 178,156
    For any other person/fraud/substantial losses or risk of losses to others or gain to self1990500550,000600,000650,000725,000775,000 890,780
    15 U.S.C. 80a-41–41(e) (Investment Company Act Sec. 42(e))For natural person 1990
    For any other person
    5,500
    55,000
    6,500
    60,000
    6,500
    65,000
    7,500 8,908 For any other person199050,000
    75,000
    7,500
    80,000
    89,078
    For natural person/fraud19905055,00060,00065,00075,00080,000 89,078
    For any other person/fraud1990250275,000300,000325,000375,000400,000 445,390
    For natural person/fraud/substantial losses or risk of losses to others1990100110,000120,000130,000150,000160,000 178,156
    For any other person/fraud/substantial losses or risk of losses to others1990500550,000600,000650,000725,000775,000 890,780
    15 U.S.C. 80b-3–3(i) (Investment Advisers Act Sec. 203(i))For natural person 1990
    For any other person
    5,500
    55,000
    6,500
    60,000
    6,500
    65,000
    7,500 8,908 For any other person199050,000
    75,000
    7,500
    80,000
    89,078
    For natural person/fraud19905055,00060,00065,00075,00080,000 89,078
    For any other person/fraud1990250275,000300,000325,000375,000400,000 445,390
    For natural person/fraud/substantial losses or risk of losses to others or gains to self1990100110,000120,000130,000150,000160,000 178,156
    For any other person/fraud/substantial losses or risk of losses to others or gain to self1990500550,000600,000650,000725,000775,000 890,780
    15 U.S.C. 80b-9–9(e) (Investment Advisers Act Sec. 209(e))For natural person 1990
    For any other person
    5,500
    55,000
    6,500
    60,000
    6,500
    65,000
    7,500 8,908 For any other person199050,000
    75,000
    7,500
    80,000
    89,078
    For natural person/fraud19905055,00060,00065,00075,00080,000 89,078
    For any other person/fraud1990250275,000300,000325,000375,000400,000 445,390
    For natural person/fraud/substantial losses or risk of losses to others1990100110,000120,000130,000150,000160,000 178,156
    For any other person/fraud/substantial losses or risk of losses to others1990500550,000600,000650,000725,000775,000 890,780
    15 U.S.C. 7215(c)(4)(D)(i) (Sarbanes-Oxley Act Sec. 105(c)(4)(D)(i))For natural person 2002
    For any other person
    N/A
    N/A
    vii 100,000 130
    vii 2,000
    131,185 For any other person2002,000110,000
    2,100,000
    120,000
    2,525375,000
    130,000
    2,623525,700 000
    15 U.S.C. 7215(c)(4)(D)(ii) (Sarbanes-Oxley Act Sec. 105(c)(4)(D)(ii))For natural person 2002
    For any other person
    N/A
    N/A
    vii 750,000 950
    vii 15,000
    983,888 For any other person2002,000800,000
    15,825,000
    900,000
    17,800,000
    950,000
    18,925,000
    19,677,750

    [82 FR 5371, Jan. 18, 2017]