2020-21100. Prohibitions and Restrictions on Proprietary Trading and Certain Interests in, and Relationships With, Hedge Funds and Private Equity Funds; Correction  

  • Start Preamble Start Printed Page 60355

    AGENCY:

    Office of the Comptroller of the Currency, Treasury (OCC); Board of Governors of the Federal Reserve System (Board); Federal Deposit Insurance Corporation (FDIC); Securities and Exchange Commission (SEC); and Commodity Futures Trading Commission (CFTC).

    ACTION:

    Notification of correction.

    SUMMARY:

    The OCC, Board, FDIC, SEC, and CFTC (together, the agencies) are issuing this correction to make technical corrections to the Federal Register rule adopting amendments to the regulations implementing section 13 of the Bank Holding Company Act published on July 31, 2020.

    DATES:

    Effective October 1, 2020.

    Start Further Info

    FOR FURTHER INFORMATION CONTACT:

    OCC: Tabitha Edgens, Counsel; Mark O'Horo, Senior Attorney, Chief Counsel's Office, (202) 649-5490; for persons who are deaf or hearing impaired, TTY, (202) 649-5597, Office of the Comptroller of the Currency, 400 7th Street SW, Washington, DC 20219.

    Board: Sarah Podrygula, Attorney, (202) 912-4658, or Kirin Walsh, Attorney, (202) 452-3058, Legal Division, Board of Governors of the Federal Reserve System, 20th and C Streets NW, Washington, DC 20551. For users of Telecommunication Device for the Deaf (TDD), (202) 263-4869.

    FDIC: Michael B. Phillips, Counsel, (202) 898-3581, or Annmarie H. Boyd, Counsel, (202) 898-3714, Legal Division, Federal Deposit Insurance Corporation, 550 17th Street NW, Washington, DC 20429.

    CFTC: Cantrell Dumas, Special Counsel, (202) 418-5043, cdumas@cftc.gov, Division of Swap Dealer and Intermediary Oversight; Mark Fajfar, Assistant General Counsel, (202) 418-6636, mfajfar@cftc.gov, Office of the General Counsel; Commodity Futures Trading Commission, Three Lafayette Centre, 1155 21st Street NW, Washington, DC 20581.

    SEC: William Miller, Senior Counsel, or Jennifer Songer, Branch Chief at (202) 551-6787 or IArules@sec.gov, Investment Adviser Regulation Office, Division of Investment Management, U.S. Securities and Exchange Commission, 100 F Street NE, Washington, DC 20549.

    You may also contact any of the individuals for these agencies named in the final rule published on July 31, 2020, at 85 FR 46422.

    End Further Info End Preamble Start Supplemental Information

    SUPPLEMENTARY INFORMATION:

    The agencies are issuing this correction to make technical corrections to the final rule adopting amendments to the regulations implementing section 13 of the Bank Holding Company Act published on July 31, 2020 (the 2020 amendments).[1] Two of the amendatory instructions of the 2020 amendments did not accurately reflect changes to the agencies' rules as described in the Supplementary Information section of the 2020 amendments. This correction corrects the agencies' Federal Register notice consistent with the Supplementary Information section of the 2020 amendments. Specifically, this correction corrects an instruction stating that the agencies were revising paragraph (d)(1) of section __.20 of the 2020 amendments when the agencies intended to revise the introductory text to paragraph (d)(1). This correction also corrects instructions concerning 17 CFR 255.10(c)(11) and 75.10(c)(11) to retain the introductory text for those paragraphs. The agencies note that the effective date for the 2020 amendments is unchanged and continues to be October 1, 2020.

    Correction

    In the Federal Register of July 31, 2020, FR Rule Doc. 2020-15525, beginning on page 46422, is corrected as follows:

    Title 12

    [Corrected]
    Start Amendment Part

    1. On page 46502, in the third column, in 12 CFR 44.20, in amendment 7b., add the words “introductory text” after the words “paragraph (d)(1)”.

    End Amendment Part
    [Corrected]
    Start Amendment Part

    2. On page 46509, in the second column, in 12 CFR 248.20, in amendment 14b., add the words “introductory text” after the words “paragraph (d)(1)”.

    End Amendment Part
    [Corrected]
    Start Amendment Part

    3. On page 46516, in the first column, in 12 CFR 351.20, in amendment 21b., add the words “introductory text” after the words “paragraph (d)(1)”.

    End Amendment Part

    Title 17

    [Corrected]
    Start Amendment Part

    4. On page 46517, third column, in 17 CFR 75.10, remove “(11) * * *” and add in its place “(11) SBICs and public welfare investment funds. An issuer:”

    End Amendment Part
    [Corrected]
    Start Amendment Part

    5. On page 46522, in the second column, in 17 CFR 75.20, in amendment Start Printed Page 6035628b., add the words “introductory text” after the words “paragraph (d)(1)”.

    End Amendment Part
    [Corrected]
    Start Amendment Part

    6. On page 46524, second column, in 17 CFR 255.10, remove “(11) * * *” and add in its place “(11) SBICs and public welfare investment funds. An issuer:”

    End Amendment Part
    [Corrected]
    Start Amendment Part

    7. On page 46529, in the first column, in 17 CFR 255.20, in amendment 35b., add the words “introductory text” after the words “paragraph (d)(1)”.

    End Amendment Part Start Signature

    Jonathan V. Gould,

    Senior Deputy Comptroller and Chief Counsel, Office of the Comptroller of the Currency.

    Board of Governors of the Federal Reserve System.

    Ann E. Misback,

    Secretary of the Board.

    Federal Deposit Insurance Corporation.

    Dated at Washington, DC, on or about September 18, 2020.

    James P. Sheesley,

    Acting Assistant Executive Secretary.

    Commodity Futures Trading Commission.

    Dated: September 21, 2020.

    Robert Sidman,

    Deputy Secretary of the Commission.

    By the Securities and Exchange Commission.

    Vanessa A. Countryman,

    Secretary.

    End Signature End Supplemental Information

    Footnotes

    1.  85 FR 46422 (July 31, 2020).

    Back to Citation

    [FR Doc. 2020-21100 Filed 9-24-20; 8:45 am]

    BILLING CODE P

Document Information

Effective Date:
10/1/2020
Published:
09/25/2020
Department:
Securities and Exchange Commission
Entry Type:
Rule
Action:
Notification of correction.
Document Number:
2020-21100
Dates:
Effective October 1, 2020.
Pages:
60355-60356 (2 pages)
Docket Numbers:
Docket No. OCC-2020-0002, Docket No. R-1694, Release no. BHCA-9A, File no. S7-02-20
RINs:
1557-AE67: Proposed Revisions to Prohibitions and Restrictions on Proprietary Trading and Certain Interests in, and Relationships With, Hedge Funds and Private Equity Funds , 3038-AE93: Revisions to Prohibitions and Restrictions on Proprietary Trading and Certain Interests in, and Relationships With, Hedge Funds and Private Equity Funds, 3064-AF17: Proposed Revisions to Prohibitions and Restrictions on Proprietary Trading and Certain Interests in, and Relationships With, Hedge Funds and Private ...
RIN Links:
https://www.federalregister.gov/regulations/1557-AE67/proposed-revisions-to-prohibitions-and-restrictions-on-proprietary-trading-and-certain-interests-in-, https://www.federalregister.gov/regulations/3038-AE93/revisions-to-prohibitions-and-restrictions-on-proprietary-trading-and-certain-interests-in-and-relat, https://www.federalregister.gov/regulations/3064-AF17/proposed-revisions-to-prohibitions-and-restrictions-on-proprietary-trading-and-certain-interests-in-, https://www.federalregister.gov/...
PDF File:
2020-21100.pdf
Supporting Documents:
» Summary of 11.25.19 Meeting with SIFMA
» Summary of 11.7.19 Meeting with GS
» Summary of 11.1.19 Meeting with LSTA
» Summary of 10.28.19 Meeting with FSF
» Summary of 9.24.19 Meeting with Sullivan & Cromwell