95-9057. Form G-405  

  • [Federal Register Volume 60, Number 71 (Thursday, April 13, 1995)]
    [Rules and Regulations]
    [Pages 18733-18734]
    From the Federal Register Online via the Government Publishing Office [www.gpo.gov]
    [FR Doc No: 95-9057]
    
    
    
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    DEPARTMENT OF THE TREASURY
    
    Office of the Under Secretary for Domestic Finance
    
    17 CFR Parts 400, 403, 405 and 449
    
    
    Form G-405
    
    AGENCY: Office of the Under Secretary for Domestic Finance, Treasury.
    
    ACTION: Adoption of form amendments.
    
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    SUMMARY: The Department of the Treasury (``Department'' or 
    ``Treasury'') is adopting amendments to Form G-405 (Report on Finances 
    and Operations of Government Securities Brokers and Dealers, or the 
    ``FOGS Report''), which is the form that registered government 
    securities brokers and dealers are required to file pursuant to 
    Secs. 405.2 and 449.5 of the regulations issued under the Government 
    Securities Act of 1986 (the ``Government Securities Act'' or ``GSA''). 
    The amendments revise Schedule I of the FOGS Report filed with the 
    Securities and Exchange Commission (``SEC'') to require registered 
    government securities brokers and dealers to disclose their 
    affiliations, if any, with U.S. banks. The Department is adopting the 
    amendments unchanged from their proposed form.
    
    EFFECTIVE DATE: June 12, 1995.
    
    FOR FURTHER INFORMATION CONTACT: Ken Papaj (Director) or Lee Grandy 
    (Government Securities Specialist) at 202-219-3632. (TDD for hearing 
    impaired: 202-219-3988.)
    
    SUPPLEMENTARY INFORMATION:
    
    Background and Analysis
    
        The Department adopted Form G-405 in the implementing regulations 
    for the GSA issued on July 24, 1987 (52 FR 27910). Sections 405.2 and 
    449.51 of the GSA regulations require that registered government 
    securities brokers and dealers use the form to make the required 
    monthly, quarterly and annual financial reports to the SEC or to their 
    self-regulatory organization in accordance with a plan approved by the 
    SEC. Pursuant to the regulations, registered government securities 
    brokers and dealers are required to file financial reports which 
    include information on their assets, liabilities, liquid capital, total 
    haircuts, and ratio of liquid capital to total haircuts as determined 
    in accordance with Sec. 402.2, among other items, on Form G-405.
    
        \1\17 CFR 405.2 and 17 CFR 449.5, respectively.
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        To supplement either Part II or IIA of the FOGS Report, registered 
    government securities brokers and dealers are also required to file 
    Schedule I at the end of each calendar year. The purpose of this 
    schedule is to obtain information about the economic and financial 
    characteristics of the reporting government securities broker or 
    dealer.
        The Department published the amendments to Form G-405 in proposed 
    form on January 30, 1995,2 and the comment period closed on March 
    1, 1995. Treasury received no comments and these final changes to the 
    form are identical to the proposed changes.
    
        \2\60 FR 5602 (January 30, 1995).
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        The amendments to Form G-405 add a new item 15 to request 
    information about an affiliation with, or control by, a U.S. bank. 
    Current items 15 through 18 become items 16 through 19, respectively. 
    The new inquiry requires a yes or no response, and if the response 
    
    [[Page 18734]]
    is yes, the respondent must provide the name of the parent or affiliate 
    and the type of institution. The ``General Instructions'' to Schedule I 
    also are amended to refer to the definition of ``bank'' in Sec. 3(a)(6) 
    of the Securities Exchange Act of 1934 (``Exchange Act'').3
    
        \3\15 U.S.C. 78c(a)(6). Under this section, the term ``bank'' is 
    defined as: (a) a banking institution organized under the laws of 
    the United States; (b) a member bank of the Federal Reserve System; 
    (c) any other banking institution doing business under the laws of 
    any state or the United States, a substantial portion of which 
    consists of receiving deposits or exercising fiduciary powers 
    similar to those permitted to national banks under the authority of 
    the Comptroller of the Currency, and which is supervised and 
    examined by state or federal authority having supervision over 
    banks; and (d) a receiver, conservator, or other liquidating agent 
    of any institution or firm included in the above paragraphs.
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        Form G-405 is required to be submitted by registered government 
    securities brokers and dealers to the SEC or to a self-regulatory 
    organization according to an SEC approved plan. Financial institutions 
    that have filed notice as government securities brokers and dealers are 
    not required to file Form G-405.
        The disclosure of this additional information would correspond to 
    similar changes made by the SEC to Form X-17A-5, also known as the 
    ``FOCUS'' Report, in November 1992.4 The Treasury shares the SEC's 
    belief that having knowledge of the economic and financial 
    characteristics of brokers and dealers, including organizational 
    affiliations with U.S. banks, is useful for regulatory purposes. This 
    form change will also achieve consistency with the SEC approach and 
    will assure consistent treatment for all government securities brokers 
    and dealers.
    
        \4\Securities Exchange Act Release No. 31398 (November 4, 1992), 
    57 FR 53261 (November 9, 1992).
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        The amendments to Form G-405 become effective June 12, 1995. The 
    Department has consulted with the National Association of Securities 
    Dealers (``NASD'') regarding the implementation of the form changes. 
    The Department understands that the NASD will distribute the amended 
    Form G-405 to its members that are registered government securities 
    brokers and dealers. Copies of the Form G-405 may also be obtained by 
    contacting the NASD.
    
    List of Subjects in 17 CFR Part 449
        Banks, banking, Brokers, Government securities, Reporting and 
    recordkeeping requirements.
    
        For the reasons set out in the Preamble, 17 CFR Chapter IV is 
    amended as follows:
    
    PART 449--FORMS, SECTION 15C OF THE SECURITIES EXCHANGE ACT OF 1934
    
        1. The authority citation for Part 449 continues to read as 
    follows:
    
        Authority: 15 U.S.C. 78o-5(a), (b)(1)(B), (b)(4).
    
        2. Schedule I of Form G-405 is amended to add new instruction 
    15(a), (b) and (c) to the General Instructions, to redesignate 
    Questions 15-18 as Questions 16-19, and add new Question 15 to read as 
    follows:
    
        Note: The text of Form G-405 does not appear in the Code of 
    Federal Regulations.
    
        Form G-405, Report on Finances and Operations of Government 
    Securities Brokers and Dealers, Schedule I:
    * * * * *
    General Instructions
    * * * * *
        15(a), (b) & (c)--Report whether respondent directly or indirectly 
    controls, is controlled by, or is under common control with, a U.S. 
    bank. If the answer is ``yes,'' provide the name of the affiliated bank 
    and/or bank holding company, and describe the type of institution. The 
    term ``bank'' is defined in Sec. 3(a)(6) of the Securities Exchange Act 
    of 1934.
    * * * * *
        15. (a) Respondent directly or indirectly controls, is controlled 
    by, or is under common control with, a U.S. bank.
    
    (Enter applicable code: 1=Yes  2=No) ________
    
        (b) Name of parent or affiliate ____________
    
        (c) Type of institution ____________
    
    * * * * *
    
    
    Secs. 400.6 and 405.3  [Amended]
    
        3. For each section indicated in the list above, remove the Office 
    of Management and Budget control number from the parenthetical 
    statement at the end of each section, and add in its place ``1535-
    0089''.
    
    
    Sec. 403.4  [Amended]
    
        4. Add at the end of Sec. 403.4 the following parenthetical:
    
    
    Sec. 403.4  Customer protection--reserves and custody of securities.
    
    (Approved by the Office of Management and Budget under control number 
    1535-0089)
    
        Dated: April 3, 1995.
    Frank N. Newman,
    Deputy Secretary.
    [FR Doc. 95-9057 Filed 4-12-95; 8:45 am]
    BILLING CODE 4810-39-W
    
    

Document Information

Effective Date:
6/12/1995
Published:
04/13/1995
Department:
Treasury Department
Entry Type:
Rule
Action:
Adoption of form amendments.
Document Number:
95-9057
Dates:
June 12, 1995.
Pages:
18733-18734 (2 pages)
PDF File:
95-9057.pdf
CFR: (1)
17 CFR 403.4