98-27983. Rules of Practice; Final Rules  

  • [Federal Register Volume 63, Number 201 (Monday, October 19, 1998)]
    [Rules and Regulations]
    [Pages 55784-55796]
    From the Federal Register Online via the Government Publishing Office [www.gpo.gov]
    [FR Doc No: 98-27983]
    
    
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    COMMODITY FUTURES TRADING COMMISSION
    
    17 CFR Part 10
    
    
    Rules of Practice; Final Rules
    
    AGENCY: Commodity Futures Trading Commission.
    
    ACTION: Final rules.
    
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    SUMMARY: The Commodity Futures Trading Commission (``Commission'') is 
    adopting final regulations amending its Rules of Practice, which govern 
    most adjudicatory proceedings brought under the Commodity Exchange Act, 
    as amended (``Act''), other than reparations proceedings. In order to 
    improve the overall fairness and efficiency of the administrative 
    process, the Commission published for comment a notice of proposed 
    amendments to the existing rules. Following consideration of the 
    comments received, this notice sets forth each amended rule in its 
    final form.
        Most of the substantive amendments adopted by the Commission serve 
    one of two purposes. Some are intended to foster a greater exchange of 
    information between the Commission's Division of Enforcement 
    (``Division'') and the respondents before a hearing takes place and to 
    clarify the production obligations of each party. Others will 
    facilitate use of the authority granted to the Commission by the 
    Futures Trading Practices Act of 1992 to require the
    
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    payment of restitution by respondents in administrative enforcement 
    proceedings. The remaining amendments are largely technical in nature.
    
    EFFECTIVE DATE: The effective date of these rules November 18, 1998. 
    The amended Rules of Practice shall apply only to proceedings initiated 
    on or after the effective date. All proceedings initiated before the 
    effective date shall be conducted under the former Rules of Practice.
    
    FOR FURTHER INFORMATION CONTACT: Stephen Mihans, Office of Chief 
    Counsel, Division of Enforcement, at (202) 418-5399, or David Merrill, 
    Office of the General Counsel, at (202) 418-5120, Commodity Futures 
    Trading Commission, Three Lafayette Center, 1155 21st Street, N.W., 
    Washington, D.C. 20581.
    
    SUPPLEMENTARY INFORMATION: On April 3, 1998, the Commission published a 
    notice in the Federal Register announcing proposed amendments to the 
    agency's Rules of Practice.\1\ Although the Commission's proposals were 
    not intended to be sweeping or groundbreaking, they did represent the 
    first major revision of the Rules of Practice in more than 20 years. 
    The notice identified fourteen existing rules that the Commission 
    proposed to amend. These provisions, and the subject areas that they 
    cover, included Rule 10.1 (scope and applicability of rules of 
    practice); Rule 10.12 (service and filing of documents; form and 
    execution); Rule 10.21 (commencement of the proceeding); Rule 10.22 
    (complaint and notice of hearing); Rule 10.24 (amendments and 
    supplemental pleadings); Rule 10.26 (motions and other papers); Rule 
    10.41 (prehearing conferences; procedural matters); Rule 10.42 
    (discovery); Rule 10.66 (conduct of the hearing); Rule 10.68 
    (subpoenas); Rule 10.84 (initial decision); Rule 10.101 (interlocutory 
    appeals); Rule 10.102 (review of initial decision); and Rule 10.106 
    (reconsideration). In addition, the Commission proposed adding to its 
    Rules of Practice a new subpart (proposed Subpart I) addressing the 
    administration of restitution orders issued pursuant to 7 U.S.C. 9 
    (1994) and a statement of policy relating to the acceptance of 
    settlements in administrative and civil proceedings instituted by the 
    Commission.
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        \1\ See 63 FR 16453 (April 3, 1998).
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        In its Federal Register notice, the Commission welcomed public 
    comment on the proposed changes to its Rules of Practice and invited 
    other suggestions to improve or expedite the adjudicatory process.\2\ 
    Two comment letters were received, one from the Law and Compliance 
    Division of the Futures Industry Association (``FIA'') and the other 
    from the Committee on Commodities and Futures Law of the New York State 
    Bar Association (``NYSBA''). Both letters were supportive of the 
    Commission's efforts to improve the overall fairness and efficiency of 
    the administrative process. Neither letter included specific comments 
    on the proposed amendments to Rules 10.1, 10.12, 10.21, 10.22, 10.26, 
    10.41 and 10.66, all of which are being adopted as presented in the 
    Federal Register notice of April 3, 1998.
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        \2\Although the comment period was originally scheduled to end 
    on June 2, 1998, it was extended by the Commission for an additional 
    30 days. See 63 FR 30675 (June 5, 1998).
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        However, both the FIA and the NYSBA raised issues relating to the 
    remaining seven rules that the Commission proposed amending. While most 
    of their comments focused on issues related to discovery and 
    restitution, both groups asked that the Commission either modify or 
    clarify other proposed revisions to the Rules of Practice. A discussion 
    of their comments, as well as the changes that the Commission has 
    determined to make in the wording of the proposed amendments, follows.
    
    I. Rule Changes Related to Discovery
    
    A. Prehearing Materials
    
        As proposed by the Commission, new Rule 10.42(a) expands the 
    information required to be included in each party's prehearing 
    memorandum to include the identity, and the city and state of 
    residence, of each witness (other than an expert) who is expected to 
    testify on the party's behalf, along with a brief summary of the 
    matters to be covered by the witness's expected testimony. In addition, 
    each party will be required to furnish a list of documents that he or 
    she will introduce as evidence at the hearing and copies of any 
    documents that the other parties do not already have in their 
    possession or to which they do not have reasonably ready access. With 
    respect to expert witnesses, each party will be required to furnish the 
    other parties with a statement providing relevant information about the 
    witness, as well as a statement setting forth the opinions to be 
    expressed by the witness and the bases or reasons for those opinions.
        In commenting on new Rule 10.42(a), the FIA expressed concern that, 
    since a respondent would not have had an opportunity to develop a 
    defense strategy before the complaint was filed, he or she may need 
    additional time to decide whether to seek the testimony of an expert 
    witness. As a consequence, it suggested that the Commission explicitly 
    require its administrative law judges (``ALJs'') to consider the amount 
    of time a respondent has had to prepare when issuing an order directing 
    him or her to submit materials under the new rule.
        This suggestion is similar to other comments in both letters, 
    requesting that the amended Rules of Practice include detailed 
    guidelines for the Commission's ALJs to follow in scheduling 
    proceedings. The Commission generally avoids interfering with the 
    discretion of an ALJ to control his or her docket. Moreover, in new 
    Rule 10.42(d), the Commission specifically authorizes its ALJs to 
    modify any requirement of new Rules 10.42(a), 10.42(b) or 10.42(c) that 
    a party can show is unduly burdensome or inappropriate under all the 
    circumstances. The Commission is not inclined to attempt to draft a 
    code of all the various factors an ALJ may take into account in 
    establishing a schedule for the production of prehearing materials 
    under new Rule 10.42(a) or for other prehearing procedures. The 
    Commission is confident that, in issuing scheduling orders, its ALJs 
    will take all relevant factors into consideration so as to ensure both 
    fairness and efficiency. Accordingly, the Commission has determined to 
    adopt new Rule 10.42(a) as proposed, without making any further 
    changes.\3\
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        \3\ For the sake of accuracy, the heading of new Rule 10.42(a) 
    has been changed from ``Pretrial materials'' to ``Prehearing 
    materials.''
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    B. Investigatory Materials
    
        As proposed by the Commission, new Rule 10.42(b) obligates the 
    Division of Enforcement to make available for inspection and copying by 
    the respondents a broad range of documents obtained during the 
    investigation that preceded the filing of the complaint against them. 
    These include all documents that were subpoenaed or otherwise obtained 
    by the Division from persons not employed by the Commission and all 
    transcripts of investigative testimony taken by the Division, together 
    with all exhibits to those transcripts. As proposed, the Division would 
    not have to produce, however, any documents that reveal (1) the 
    identity of confidential sources, (2) confidential investigatory 
    techniques or procedures or (3) the business transactions and positions 
    of persons other than the respondents unless they are relevant to the 
    resolution of the
    
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    proceeding. In addition, nothing in the new rule limits the Division's 
    ability to withhold documents or other information on the grounds of 
    privilege or the work product doctrine.\4\
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        \4\ In the final version of new Rule 10.42(b), this provision 
    has been revised to make clear that the rule is not intended to 
    require the production of documents containing information that is 
    protected from disclosure by applicable law.
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        In commenting on new Rule 10.42(b), both the FIA and the NYSBA 
    expressed concern about a number of specific provisions and asked the 
    Commission to consider alternative approaches. As a result of these 
    comments and the Commission's own review of the original proposal, 
    several changes have been made in the wording of new Rule 10.42(b). A 
    discussion of the comments and changes follows.\5\
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        \5\ The FIA suggested that a separate provision be added to new 
    Rule 10.42 clarifying that, notwithstanding the Division's right to 
    withhold documents on claims of privilege or the work product 
    doctrine, the Division is nonetheless obligated to turn over all 
    exculpatory materials required to be produced under Brady v. 
    Maryland, 373 U.S. 83, 87 (1963). In the notice announcing the 
    proposed amendments, the Commission expressly stated that the scope 
    of the Division's obligations to produce material exculpatory 
    information under In re First National Monetary Corp., [1982-1984 
    Transfer Binder] Comm. Fut. L. Rep. CCH) para. 21,853 at 27,581 
    (CFTC Nov. 13, 1981) and its progeny is not addressed by these rule 
    changes. 63 FR 16455 n.3. The issues potentially raised by 
    consideration of the appropriate interpretation and application of 
    an obligation to produce material exculpatory information are broad 
    and complex. They have been addressed to date only to a very limited 
    extent in Commission adjudicatory decisions. For these reasons, the 
    Commission is adhering to its decision not to address those issues 
    in these rule amendments.
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        As an initial matter, based on its own further consideration of new 
    Rule 10.42(b), the Commission has made several substantive changes in 
    the final rule that are designed to clarify the limitations of the 
    Division's disclosure obligations. First, the final rule makes clear 
    that, if the Commission or another governmental entity has a continuing 
    investigative interest in another matter or another person, the 
    Division does not have to turn over information that relates to the 
    other matter or person simply because it happens to have been obtained 
    as part of the investigation that led to the pending proceeding. Only 
    if the information is also relevant to the resolution of the proceeding 
    would it have to be made available to the respondents under new Rule 
    10.42(b).
        Second, and in a similar vein, the final rule clarifies that, if a 
    proceeding has resulted from a broad investigation into a general 
    subject matter or a general kind of conduct, the Division's disclosure 
    obligation under new Rule 10.42(b) only attaches to that portion of the 
    investigation relating to the particular transactions, conduct or 
    persons involved in the pending proceeding. At times, the Division will 
    undertake an investigation into a general subject matter area, like the 
    one that recently occurred in connection with so-called hedge to arrive 
    contracts in the grain industry. Such an investigation may spawn a 
    number of separate inquiries and result in the initiation of a number 
    of separate proceedings. When a proceeding is initiated as a result of 
    this kind of broad investigation, the Division is not required to 
    produce all of the documents that it has obtained in the larger 
    investigation. Instead, as paragraph (3) of new Rule 10.42(b) now 
    indicates, it will only be obligated to produce those materials that 
    relate to the particular matters at issue in the pending proceeding.
        Third, a provision has been added to new Rule 10.42(b) that allows 
    the Division to withhold information obtained from domestic or foreign 
    governmental entities or from a foreign futures authority, as defined 
    in 7 U.S.C. 1a(10), that either (1) is not relevant to the resolution 
    of the proceeding or (2) was provided on condition that it not be 
    disclosed or only be disclosed by the Commission, or a representative 
    of the Commission, as evidence in an enforcement or other proceeding. 
    To carry out its statutory duties effectively, the Commission must be 
    in a position to receive information from other governmental entities 
    and from foreign futures authorities under circumstances that allow 
    them to be as forthcoming as possible. Thus, the Commission must be 
    able to protect the confidentiality of information that is irrelevant 
    to the pending proceeding or was furnished to the Commission upon 
    condition that its disclosure be restricted. The language that the 
    Commission has added to new Rule 10.42(b) strikes a balance between the 
    appropriate disclosure of information to the respondents in a 
    proceeding and the Commission's need to encourage cooperative 
    information-sharing with other governmental entities here and abroad 
    and with foreign futures authorities.\6\
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        \6\ Of course, like all of the documents that new Rule 10.42(b) 
    allows the Division to withhold from inspection and copying by the 
    respondents, these materials may have to be produced under other 
    provisions in the rules, for example, if the Division intends to 
    introduce them into evidence at the hearing, if they were relied 
    upon by an expert witness testifying on the Division's behalf or if 
    they were appended as exhibits to a witness statement or to 
    investigate testimony taken by the Division.
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        Turning to other concerns about new Rule 10.42(b), the FIA comment 
    letter proposed that the Division's disclosure obligations be widened 
    to include all subpoenas and written requests for information issued by 
    the Division, as well as all relevant final examination and inspection 
    reports prepared by the Commission's Division of Trading and Markets 
    and Division of Economic Analysis. The Commission agrees that making 
    available for inspection and copying by respondents those portions of 
    subpoenas and written requests for information that resulted in the 
    production of investigative materials may assist the respondents in 
    understanding the produced materials. Accordingly, language has been 
    added to the new rule requiring the Division to provide respondents 
    with access not only to all documents that were produced pursuant to 
    subpoenas issued by the Division or otherwise obtained from persons not 
    employed by the Commission, but also to any portion of a subpoena or 
    written request that resulted in the furnishing of such documents to 
    the Division. However, respondents need not be given access to 
    subpoenas and written requests (or any portion of a subpoena or written 
    request) that did not result in the production of investigatory 
    materials being made available to the respondents. The Commission is 
    also of the view that the FIA's request for all relevant final 
    examination and inspection reports is too vague.
        Further commenting on new Rule 10.42(b), the FIA also requested 
    that the Division be required to make investigatory materials available 
    to a respondent within 14 days after he or she files an answer to the 
    complaint. This proposal, however, invites the kind of micromanaging of 
    the prehearing scheduling process in which the Commission is not 
    prepared to engage.
        The NYSBA's comment letter raised separate concerns regarding new 
    Rule 10.42(b). First, it noted that, by making investigative materials 
    available at the Commission office where they are ordinarily 
    maintained, the new rule potentially works a hardship on respondents, 
    particularly where the investigation leading to the complaint was 
    conducted by Division staff at the Commission's headquarters in 
    Washington, D.C. Also, the letter suggested that, in the event the 
    Division chooses to withhold documents from production under new Rule 
    10.42(b), it automatically should be required to compile an index of 
    such documents, as is now the case under the Federal Rules of Civil 
    Procedure.
        Both points are well taken. Accordingly, new Rule 10.42(b) has been 
    revised to require that, upon written request, a respondent will be 
    given access to prehearing materials at
    
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    the Commission office nearest to the location where the respondent or 
    his or her counsel resides or works. In addition, the Division will be 
    obligated to furnish the respondents with an index of all documents 
    being withheld when it makes prehearing materials available for 
    inspection and copying under new Rule 10.42(b). The new rule explicitly 
    states that the index of withheld documents should provide sufficient 
    information to enable the respondents to assess the privilege or 
    protection being claimed by the Division, consistent with the asserted 
    privilege or protection against disclosure.\7\
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        \7\ In like fashion, paragraph (3) of new Rule 10.42(c) is being 
    revised to require that each party to a proceeding make and keep a 
    similar log of all documents withheld under that provision and turn 
    it over to the other parties when producing witness statements. The 
    FIA comment letter also proposed explicit recognition in the rules 
    of an ALJ's authority to conduct in camera review of materials being 
    withheld. While ALJs have exercised such authority without 
    Commission objection, the Commission does not wish at this time to 
    open up questions concerning the nature and scope of any such 
    authority by addressing it through rulemaking.
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        New Rule 10.42(b) does not require the Division to identify on its 
    index of withheld documents any materials containing information 
    obtained from a governmental agency in the United States or abroad or 
    from a foreign futures authority that was provided on condition that it 
    not be disclosed or that it only be disclosed by the Commission or a 
    representative of the Commission as evidence in an enforcement or other 
    proceeding. In the Commission's view, no point would be served by 
    listing such materials on the Division's index, since they would be 
    properly withheld on the basis of the condition alone. However, if the 
    Division has received these kinds of materials from a governmental 
    agency or foreign futures authority, it will be required to inform the 
    respondents of that fact, without having to index or describe further 
    any of the documents at issue or their source.
        Both the FIA and NYSBA objected to the provision in new Rule 
    10.42(b) that deals with any failure by the Division to make 
    investigative materials available to the respondents. As proposed, the 
    new rule requires that, in the event of such a failure, no rehearing or 
    reconsideration of a matter already heard or decided shall be required, 
    unless the respondent demonstrates resulting prejudice. Each comment 
    letter argued that the burden should be on the Division to show that 
    any failure to make documents available did not prejudice the 
    respondents. This argument overlooks, however, a substantial body of 
    federal case law holding that, even in criminal cases, it is the 
    defendant's burden to show prejudice from the loss or wrongful 
    withholding of evidence by the government. United States v. Walsh, 75 
    F.3d 1, 8 (1st Cir. 1995) (noncompliance with the Jencks Act does not 
    justify overturning a criminal conviction in the absence of ``some 
    showing of prejudice* * *beyond mere assertions that the defendant 
    would have conducted cross-examination differently''). As a general 
    rule, the burden is on the party claiming prejudice to show prejudice 
    and for good reason, since among other considerations, the obligation 
    to prove a negative--in this case, the lack of prejudice--often can be 
    impossible one. Accordingly, the final wording of paragraph (6) of new 
    Rule 10.42(b) is unchanged.\8\
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        \8\ The Commission likewise has determined not to change the 
    burden relating to the showing of prejudice in paragraph (4) of new 
    Rule 10.42(c), which deals with failure of a party to produce 
    witness statements.
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    C. Witness Statements
    
        As proposed by the Commission, new Rule 10.42(c) requires that each 
    party to a proceeding make available to all of the other parties any 
    statement made by any person whom the party calls, or expects to call, 
    as a witness that relates to his or her anticipated testimony. These 
    statements include transcripts of investigative or trial testimony 
    given by the witness, written statements signed by witness and 
    substantially verbatim notes of interviews with the witness, as well as 
    the exhibits to such transcripts, statements or notes. For purposes of 
    the new rule, substantially verbatim notes mean notes that fairly 
    record the witness's exact words, subject to minor inconsequential 
    deviations.
        New Rule 10.42(c) generally accords with Rule 26.2 of the Federal 
    Rules of Criminal Procedures, which places in the Federal Rules the 
    substance of the Jencks Act, 18 U.S.C. 3500. It differs from the former 
    Rules of Practice, inter alia, by requiring all parties, and not just 
    the Division of Enforcement, to produce witness statements. In 
    commenting on the new rule, the FIA and NYSBA argued that it 
    disadvantages respondents unfairly. In their view, by having to 
    produce, in advance of the hearing, statements of potentials witnesses 
    who may or may not testify and the scope of whose testimony may still 
    be uncertain, respondents are being forced to disclose their strategy 
    and evidence prematurely. Also, in their view, since the Division has 
    had an opportunity to prepare its case before the compliant was filed, 
    it is not similarly disadvantaged.
        In response to this concern, the language of new Rule 10.42(c) has 
    been revised to require that a respondent will not have to make witness 
    statements available until the close of the Division's case-in-chief at 
    the hearing. By then, the respondent will reasonably know whom he or 
    she will call as witnesses for the defense, as well as the testimony 
    that those witnesses can be expected to give. The final rule also 
    provides that, if additional time is needed for the Division to review 
    and analyze a respondent's witness statements before cross-examining 
    his or her witnesses, the ALJ should grant the Division the necessary 
    continuance.
        The NYSBA also suggested that the Commission require the production 
    of any summaries that have been made of investigative testimony or 
    witness statements. In the Federal Register notice announcing the 
    proposed amendments, however, the Commission specifically noted that it 
    does not intend to require the production of notes prepared by persons 
    other than the witness himself or herself, including attorney's notes. 
    The Commission created a narrow exception for notes that in effect 
    constitute transcriptions of a witness's statement. The NYSBA proposal 
    would substantially widen that narrow exception, opening the door to 
    endless disputes over what constitutes a summary and putting at risk 
    properly privileged material. Accordingly, the Commission has not 
    adopted the NYSBA proposal.
    
    D. Objections to Authenticity or Admissibility of Documents
    
        New Rule 10.42(f) governs prehearing objections to the authenticity 
    or admissibility of documents. As proposed, it provides that, upon 
    order by the ALJ presiding over a proceeding, each party serve on the 
    other parties a list of documents that it intends to introduce at the 
    hearing. Upon receipt of the list, the other parties have 20 days to 
    file a response, disclosing any objections that they wish to preserve 
    as to the authenticity or admissibility of the documents thus 
    identified. Where any other objects to the authenticity or 
    admissibility of any of the listed documents, the ALK may treat the 
    list of documents as a motion in limine. After affording the parties an 
    opportunity to brief the motion to the degree necessary for a decision, 
    the ALJ may rule on the advance of the hearing to the extent 
    appropriate.
        New Rule 10.42(f) is modeled on Rule 26(a)(3)(C) of the Federal 
    Rules of Civil Procedure. As the NYSBA comment
    
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    letter correctly noted, Rule 26(a)(3)(C) reserves for trial a party's 
    right to object to the admissibility of a document on grounds of 
    relevance, undue prejudice, confusion of issues, needles presentation 
    of cumulative evidence or waste of time. By contrast, under new Rule 
    10.42(f) as proposed, all objections not raised by a party may be 
    deemed waived. To make the new rule more compatible with the Federal 
    Rules on which it was modeled, the Commission has modified the final 
    rule to permit all objections not raised by a party to be deemed 
    waived, except fro relevance, needless presentation of cumulative 
    evidence or waste of time. Because the evidence and argument in an 
    administrative proceeding is heard by an ALJ rather than a jury, there 
    is no compelling need to preserve objections based on undue prejudice 
    or confusion of the issues.\9\
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        \9\ In discussing new Rule 10.26(f), the NYSBA comment letter 
    also questioned whether 20 days is sufficient time for a party to 
    identify all of the objections that he or she may have to the 
    substantial number of trading records and other documents typically 
    involved in a complex trade-practice case. To allay this concern, 
    the language of the final rule has been revised to require the 
    filing of a party's response within 20 days or such other time as 
    may be designated by the ALJ. Again, the Commission is confident 
    that its ALJs will consider all relevant circumstances in trying to 
    set as expeditious a schedule as practicable, consistent with 
    fairness to all parties.
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    E. Subpoenas
    
        Under the former rules, documents subpoenaed by a party to an 
    administrative proceeding could only be produced at the time of the 
    hearing itself. New Rule 10.68 allows the parties to a proceeding to 
    apply for the issuance of a subpoena by the ALJ requiring the 
    production of documents at any designated time and place. Although both 
    comment letters were generally supportive of the new rule, the FIA 
    suggested it be modified (1) to permit the filing of a motion to quash 
    by the owner, creator or subject of a subpoenaed document (rather than 
    just the recipient of the subpoena) and (2) to enlarge the time within 
    such a motion could be filed from seven days to 15 days. In addition, 
    the FIA asked the Commission to clarify the standards under which a 
    protective order can be obtained from the ALJ.
        In the Commission's views, new Rule 10.68 should not be an attempt 
    to resolve issues of standing with regard to motions to quash or modify 
    subpoenas. Such issues are more appropriately addressed through 
    adjudication.\10\ Also, the Commission has determined to set the time 
    for filing such motions at 10 days after the subpoena has been served, 
    which is the amount of time that Rule 10.26 allows generally for 
    responses to motions. Accordingly, paragraph (c) of new Rule 10.68 has 
    been revised to provide simply that, within 10 days after service of a 
    subpoena or at any time prior to the return date thereof, whichever is 
    earlier, a motion to quash or modify the subpoena may be filed with the 
    ALJ who issued it, without reference to who would have standing to file 
    such a motion.\11\
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        \10\ See generally Fed. R. Civ. P. 45(c)(3).
        \11\ The ALJ, of course, may extend the deadline for filing a 
    motion to quash or modify a subpoena, just as he or she may extend 
    other deadlines in the Rules of Practice, for good cause shown.
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        To clarify the standards under which protective orders may be 
    authorized, the Commission has added language to new Rule 10.68(c)(2) 
    explicitly providing that protective orders may be issued upon a 
    showing of good cause and that, in considering whether to issue a 
    protective order, ALJs shall weight the harm resulting from disclosure 
    against the benefits of disclosure. Cf. Fed. R. Civ. P. 26(c) advisory 
    committee's note (observing that, in deciding whether to give trade 
    secrets immunity against disclosure, federal courts routinely weigh the 
    moving party's claim to privacy against the need for disclosure).
        In promulgating new Rule 10.68(c)(2), the Commission notes that the 
    burden of justifying any protective order remains on the person who 
    seeks it. Federal Trade Comm'n v. Standard Financial Management, 830 
    F.2d 404, 411 (1st Cir. 1987) (unsealing defendant's financial 
    documents as germane to district court's approval of negotiated 
    settlement with agency). Good cause can be established only upon a 
    showing that the person seeking the protective order will suffer a 
    clearly defined and serious injury if the requested order is not 
    issued. Id. at 412 (``[a] finding of good cause [to impound documents] 
    must be based on a particular factual demonstration of potential harm, 
    not on conclusory statements''). Any such injury must be balanced 
    against the public's recognized right of access to judicial records. 
    Id. at 410. All of these considerations, which are reflected in new 
    Rule 10.68(c)(2), are particularly pertinent in the context of 
    enforcement proceedings initiated by the Commission, since such 
    proceedings are ``patently matters of significant public concern.'' Id. 
    at 412.
        In connection with these revisions to new Rule 1068(c)(2), the 
    Commission has deleted language found in paragraph (7) of new Rule 
    10.42(c) that dealt with the issuance of protective orders covering 
    confidential information contained in prehearing materials produced by 
    the Division of Enforcement. In considering requests for protective 
    orders sought under any section of the rules, ALJs henceforth shall 
    rely on the standards set forth in paragraph (2) of new Rule 10.68(c) 
    \12\
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        \12\ Consistent with the former Rules of Practice, new Rule 
    10.68(c)(2) provides that no protective order shall be granted that 
    will tend to impair either the Division's or a respondent's ability 
    to present its case.
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    II. Rule Changes Related to Restitution
    
        Since 1992, Section 6(c) of the Act, 7 U.S.C. 9 (1994), has 
    authorized the Commission to require restitution in administrative 
    proceedings to customers of damages proximately caused by violations 
    committed by the respondents. To facilitate this process, the 
    Commission prosed amending Rule 10.84 of the Rules of Practice to 
    include a new provisions specifically to address restitution and adding 
    a new Subpart I, which would address the administration of restitution 
    orders.
        Commentting on this proposal, the NYSBA suggested that, because the 
    other provisions of Rule 10.84 deal only with procedural matters, it 
    would be preferable to move all of the regulatory provisions on 
    restitution to the new Subpart I. In promulgating final rules, the 
    Commission has made the suggested revision.
        As thus revised, the final Subpart I provides that, in any 
    proceeding where an order requiring restitution may be entered, the ALJ 
    shall determine, as part of his or her Initial Decision, whether 
    restitution is an appropriate remedy. In making this decision, the ALJ 
    can consider the degree of complexity likely to be involved in 
    establishing individual claims; the likehood that such claimants can 
    obtain compensation through their own efforts; the respondent's ability 
    to pay claimants damages that his or her violations have caused; the 
    availability of resources to administer restitution; and any other 
    matters that justice may require. See In re Staryk, [Current Transfer 
    Binder] Comm. Fut. L. Rep. (CCH) para. 27,206 at 45,812 (CFTC Dec. 18, 
    1997). In the event that restitution is deemed to be appropriate, the 
    ALJ's Initial Decision shall include an order of restitution. In it, 
    the ALJ will specify (1) the violations that form the basis for 
    restitution, (2) the particular persons, or class or classes of 
    persons, who have suffered damages proximately caused by such 
    violations, (3) the method of calculating the amount of damages that 
    will be paid as restitution, and (4) if then determinable, the amount 
    of restitution to be paid.
        Under new Subpart I, the ALJ's Initial Decision need not address 
    how or when restitution will be paid. Instead, after an
    
    [[Page 55789]]
    
    order requiring restitution becomes effective (i.e., becomes final or 
    is not stayed), the Division of Enforcement will be required to 
    recommend to the Commission or, at the Commission's discretion, to the 
    ALJ, a procedure for implementing the payment of restitution. Each 
    respondent will be required to pay restitution shall be afforded notice 
    of the Division's recommendations and an opportunity to be heard.
        Based on the Division's recommendations and any response from the 
    respondents, the Commission or the ALJ shall establish a procedure for 
    identifying and notifying individual claimants who may be entitled to 
    restitution; receiving and evaluating claims; obtaining funds to be 
    paid as restitution from the respondents; and distributing such funds 
    to qualified claimants. If appropriate, the Commission or the ALJ may 
    appoint any person, including a Commission employee, to administer, or 
    assist in administering, restitution. If the administrator is a 
    Commission employee, no fees shall be charged for his or her services 
    or for services performed by other Commission employees working under 
    his or her direction.\13\
    ---------------------------------------------------------------------------
    
        \13\ Under new Subpart I, the ALJ will be permitted to combine 
    the procedures for adopting and administering a plan of restitution 
    with the hearing on liability, when the ALJ concludes that 
    presentation, consideration and resolution of the issues relating to 
    restitution will not materially delay the conclusion of the hearing 
    or the issuance of an initial decision.
    ---------------------------------------------------------------------------
    
        Commenting on the new rules facilitating restitution, both the FIA 
    and the NYSBA argued that, in order to be consistent with provisions of 
    the Act governing reparations proceedings and private rights of action, 
    the Commission should impose a two-year state of limitations on claims 
    for restitution in administrative enforcement proceedings. This 
    argument ignores that, in amending Section 6(c) to add restitution as a 
    remedy available to the Commission in administrative proceedings, 
    Congress did not limit restitution to violations occurring less than 
    two years before the filing of a complaint. Similarly, despite concerns 
    raised by the FIA, the Commission does not believe it would be 
    appropriate to revise new Subpart I to preclude persons who have sued a 
    respondent in other forums from receiving restitution in an 
    administrative enforcement proceeding. The Commission expects that, as 
    part of the process of administering a restitution order, all 
    appropriate equitable considerations can and will be taken into account 
    to avoid double recovery or an undue windfall to any person.
        Finally, new Subpart I provides that, unless otherwise ordered by 
    the Commission, all costs incurred in administering an order of 
    restitution shall be paid from the restitution funds obtained from the 
    respondent who was so sanctioned. In response to this provision, the 
    NYSBA asked that the Commission clarify that all costs incurred in 
    administering restitution will come from the restitution fund itself 
    and not from the funds of the respondent. The Commission recognizes 
    that, in federal court practice, receivership costs and other expenses 
    arising from the administration of restitution ordinarily are paid out 
    of the restitution funds themselves. See generally Gaskill v. Gordon, 
    27 F.3d 248,251 (7th Cir. 1994) ``[a]s a general rule, the expenses and 
    fees of a receivership are a charge upon the property administered''). 
    Nevertheless, it would be within the discretion of the Commission to 
    require a respondent to pay some or all of the costs incurred in 
    administering an order of restitution. Id. at 250 (``[r]eceivership is 
    an equitable remedy, and the district court may, in its discretion, 
    determine who shall be charged with the costs of receivership'').
    
    III. Other Rule Changes
    
        In addition to addressing the proposed amendments relating to 
    discovery and restitution, the FIA and the NYSBA commented on other 
    changes and proposed additional revisions to the Rules of Practice. A 
    review of those comments and proposals follows.
    
    A. Separation of Functions and Ex Parte Contacts
    
        Although the Commission did not announce any proposal to amend Rule 
    10.9, which deals with the separation of functions in enforcement 
    proceedings, the FIA comment letter pointed out that, as currently 
    written, the rule does not fully track the wording of 5 U.S.C. 554(d), 
    the section of the Administrative Procedure Act (``APA'') on which it 
    is based. The separation-of-functions requirement presently set forth 
    in Rule 10.9 only references Initial Decisions issued by the 
    Commission's ALJs. By contrast, 5 U.S.C. 554(d) requires that:
    
        An employee or agent engaged in the performance of investigative 
    or prosecuting functions for an agency in a case may not, in that or 
    a factually related case, participate or advise in the decision, 
    recommended decision, or agency review pursuant to section 557 of 
    this title, except as witness or counsel in public proceedings.
    
    The Commission and its staff, of course, abide by their obligations 
    under the law, and so the more narrow wording of Rule 10.9 is of no 
    substantive consequence. However, to avoid any possible 
    misunderstanding or confusion, the Commission has amended existing Rule 
    10.9 to follow the language of the APA more closely.
        Although the FIA comment letter suggested otherwise, the Commission 
    sees no need to revise existing Rule 10.10, which prohibits interested 
    persons outside the Commission from making ex parte communications 
    relevant to the merits of a proceeding to any Commissioner, ALJ or 
    Commission decisional employee. The language of Rule 10.10 fully 
    accords with 5 U.S.C. 557(d)(1) and, like that provision of the APA, is 
    not intended to address communications between the Commission and its 
    staff. While the Commission recognizes that some agencies have extended 
    the ex parte communications rule to cover persons inside the agency, 
    the Commission does not view that extension as either necessary or well 
    advised. In the Commission's view, 5 U.S.C. 554(d) and the revised Rule 
    10.9 address the relevant concern. Accordingly, the expansion of the ex 
    parte communication rule suggested in the FIA comment letter is not 
    being adopted.
    
    B. Amendments and Supplemental Pleadings
    
        New Rule 10.24 clarifies the authority retained by the Commission 
    to amend the complaint in an administrative enforcement proceeding 
    after the proceeding has been initiated. In addition, it permits the 
    Division of Enforcement, upon motion to the ALJ and with notice to all 
    of the other parties and the Commission, to amend a complaint for the 
    limited purpose of correcting typographical or clerical errors or 
    making similar, non-substantive revisions.
        In its comment letter, the NYSBA objected to new Rule 10.24 as 
    disadvantaging respondents unfairly. According to the comment letter, 
    the Commission should be able to amend a complaint only after the 
    respondent has had an opportunity to argue against amendment. The 
    NYSBA's objections notwithstanding, new Rule 10.24 simply recognizes 
    the plenary authority retained by the Commission over complaints that 
    it issues in administrative enforcement proceedings. In order to ensure 
    that respondents are not unfairly disadvantaged when the Commission 
    amends a complaint, a suggestion made
    
    [[Page 55790]]
    
    by both comment letters has been incorporated into the final version of 
    new Rule 10.24. As a result, the new rule will provide that, if the 
    Commission amends the complaint in an administrative proceeding, the 
    ALJ shall adjust the scheduling of the proceeding so as to avoid any 
    prejudice to any of the parties to the proceeding.
    
    C. Interlocutory Appeals
    
        Like its predecessor, new Rule 10.101 governs the filing of 
    interlocutory appeals from specified rulings of an ALJ. To correct an 
    ambiguity in the proposed rule that was pointed out in one of the 
    comment letters, the second sentence in paragraph (b)(1) of the rule 
    has been revised to clarify that, if a request for certification has 
    been filed with the ALJ, an application for interlocutory review under 
    any of the five paragraphs in Sec. 10.101(a) may be filed with the 
    Commission within five days after notification of the ALJ's ruling on 
    the request for certification.
    
    D. Review of Initial Decisions
    
        Like its predecessor, new Rule 10.102 governs the appeal of Initial 
    Decisions to the Commission. Unlike the former rule, however, the new 
    rule allows cross appeals and provides for the filing of reply briefs 
    by appellants. Under new rule 10.102, if a timely notice of appeal has 
    been filed by one party, any other party may file a notice of cross 
    appeal within 15 days after service of the notice of appeal or within 
    15 days after service of the Initial Decision, whichever is later. If 
    such a notice of cross appeal is filed, the Commission will, to the 
    extent practicable, adjust both the briefing schedule and any otherwise 
    applicable page limitations in order to allow for consolidated briefing 
    by all appealing parties.
        In its comment letter, the NYSBA objected to cross appeals, 
    asserting that they raise due process issues. According to the comment 
    letter, by setting up the risk of a cross appeal by the Division of 
    Enforcement when an appeal otherwise would not have been filed, the new 
    rule creates a disincentive for the respondents to appeal Initial 
    Decisions. This argument ignores the fact that cross appeals have long 
    been permitted under the Federal Rules of Appellate Procedure, with no 
    apparent abridgement of any party's right to due process. See F.R. App. 
    P. 4(a)(3). The Commission continues to believe that the provision of 
    cross appeals will facilitate the appellate process and so has retained 
    the provision as proposed in the final rules.
        The NYSBA comment letter also noted that, because existing Rule 
    10.12(a)(2) already does so, there is no need for new Rule 10.102 to 
    extend by three days the time within which a notice of appeal must be 
    filed if service of the Initial Decision or other order terminating the 
    proceeding has been effected by mail or commercial carrier. However, 
    since an ALJ is not a party to a proceeding and an Initial Decision is 
    not a document to which any response can be filed, it is unclear that 
    Rule 10.12(a)(2) governs the time within which a notice of appeal can 
    be filed. By amending the language regarding the deadline for filing a 
    notice of appeal, new Rule 10.102 removes any ambiguity.
    
    E. Reconsideration; Stay Pending Appeal
    
        Unlike its predecessor, which addressed motions for reconsideration 
    of Commission opinions and orders, new Rule 10.106 sets forth the 
    standards on which the Commission relies in granting applications by 
    respondents to stay sanctions in administrative enforcement proceedings 
    pending reconsideration by the Commission or judicial appeal. In order 
    to obtain such relief, the applicant must show (1) that he or she is 
    likely to succeed on the merits of the appeal, (2) that denial of the 
    requested stay would cause irreparable harm to the applicant and (3) 
    that neither the public interest nor the interest of any other party 
    will be adversely affected if the stay is granted.
        Also, as proposed, new Rule 10.106 provides that, as long as 
    neither the public interest nor the interest of any other party is 
    adversely affected, the Commission shall grant any application to stay 
    the effect of a civil monetary penalty once the applicant has filed an 
    appropriate surety bond with the Commission's Proceedings Clerk. In 
    commenting on the new rule, both the FIA and the NYSBA appeared to 
    question whether a surety bond must be filed along with the stay 
    application itself or afterwards, i.e., once the Commission has 
    determined to grant the stay application.
        The final version of new Rule 10.106 has been revised to clarify 
    that, if a respondent seeks to stay the imposition of a civil monetary 
    penalty, he or she must file an appropriate surety bond at the time he 
    or she applies for relief and demonstrate that neither the public 
    interest nor the interest of any other party will be harmed by the 
    stay. As the revision also makes clear, if a respondent chooses not to 
    post a surety bond, then he or she will have to meet all of the 
    criteria necessary to stay the effectiveness of other sanctions or the 
    Commission will not stay the imposition of his or her civil monetary 
    penalty.
        In addition, the final rule has been revised to allow a respondent 
    to use the same surety bond procedure in seeking to stay the 
    effectiveness of an order requiring him or her to pay a specific sum as 
    restitution. The Commission added this provision because the rationale 
    justifying a stay of civil penalties after filing a bond is equally 
    applicable to orders of restitution where the amount of restitution to 
    be paid by the respondent has been determined. This provision would not 
    apply, however, to any restitution order of the Commission in which the 
    specific amount of restitution is not set.\14\
    ---------------------------------------------------------------------------
    
        \14\ As revised, new Rule 10.106 also makes clear that, in the 
    event the Commission denies a motion to stay the effectiveness of an 
    order imposing a civil monetary penalty or directing the respondents 
    to pay a fixed amount as restitution, any surety bond that was filed 
    by the applicant will be returned to him or her by the Processings 
    Clerk.
    ---------------------------------------------------------------------------
    
    F. Commission Policy Relating to the Acceptance of Settlements
    
        As part of the proposed amendments to the Rules of Practice, the 
    Commission included a statement setting forth its policy not to accept 
    any offer of settlement in an administrative or civil proceeding if the 
    respondent or defendant wished to continue to deny the allegations of 
    the Commission's complaint (although they may state that they neither 
    admit nor deny the allegations). The FIA comment letter suggested that 
    the policy statement--which is being incorporated into the rules as new 
    Appendix A--be modified to reflect the fact that the Commission's 
    position is grounded in public policy.
        The Commission believes that the public-policy considerations 
    underlying Appendix A are clearly reflected in the document itself. In 
    accepting a settlement and entering an order finding violations of the 
    Act or the regulations, the Commission makes uncontested findings of 
    fact and conclusions of law. The Commission does not believe that it 
    would be appropriate for the agency to be making such uncontested 
    findings of violations if the party against whom the uncontested 
    findings are to be entered is continuing to deny the alleged 
    misconduct. Since these considerations are clearly articulated in 
    Appendix A, the Commission sees no need to alter the wording of its 
    policy statement at this time.
    
    IV. Related Matters
    
        The Regulatory Flexibility Act (``RFA''), 5 U.S.C. 601 et seq. 
    (1988), requires that, in adopting final rules, agencies consider the 
    impact of those
    
    [[Page 55791]]
    
    rules on small businesses. In its preamble to the proposed amendments, 
    the Commission determined that the Part 10 rules are not subject to the 
    provisions of the RFA because they relate solely to agency 
    organization, procedure and practice. Nevertheless, because the rules 
    do not impose regulatory obligations on commodity professionals and 
    small commodity firms and because the amendments adopted by the 
    Commission will expedite and impose the administrative process, the 
    Chairperson certifies, on behalf of the Commission, that the amended 
    rules will not have a significant economic impact on a substantial 
    number of small business entities.
    
    List of Subjects in 17 CFR Part 10
    
        Administrative practice and procedure, Commodity futures.
    
        In consideration of the foregoing, the Commission amends Chapter I 
    of Title 17 of the Code of Federal Regulations as follows:
    
    PART 10--RULES OF PRACTICE
    
        1. The authority citation for part 10 continues to read as follows:
    
        Authority: Pub. L. 93-463, sec. 101(a)(11), 88 Stat. 1391; 7 
    U.S.C. 4a(j), unless otherwise noted.
    
        2. Section 10.1 is amended by deleting the third ``and'' from 
    paragraph (d), redesignating paragraphs (e), (f), (g) and (h) as 
    paragraphs (f), (g), (h) and (i), respectively, and adding a new 
    paragraph (e), to read as follows.
    
    
    Sec. 10.1  Scope and applicability of rules of practice.
    
    * * * * *
        (e) The issuance of restitution orders pursuant to section 6(c) of 
    the Act, 7 U.S.C. 9; and
    * * * * *
        3. Section 10.9 is amended by revising paragraph (b) to read as 
    follows:
    
    
    Sec. 10.9  Separation of functions.
    
    * * * * *
        (b) No officer, employee or agent of the Commission who is engaged 
    in the performance of investigative or prosecuting functions in 
    connection with any proceeding shall, in that proceeding or any 
    factually related proceeding, participate or advise in the decision of 
    the Administrative Law Judge or the Commission except as witness or 
    counsel in the proceeding, without the express written consent of the 
    respondents in the proceeding. This provision shall not apply to the 
    members of the Commission.
    * * * * *
        4. Section 10.1 is amended by revising paragraph (a)(2) to read as 
    follows:
    
    
    Sec. 10.12  Service and filing of documents; form and execution.
    
        (a) * * *
        (2) How service is made. Service shall be made by personal service, 
    delivering the documents by first-class United States mail or a similar 
    commercial package delivery service, or transmitting the documents via 
    facsimile machine. Service shall be complete at the time of personal 
    service or upon deposit in the mails or with a similar commercial 
    package delivery service of a properly addressed document for which all 
    postage or fees have been paid to the mail or delivery service. Where a 
    party effects service by mail or similar package delivery service, the 
    time within which the party being served may respond shall be extended 
    by three days. Service by facsimile machine shall be permitted only if 
    all parties to the proceeding have agreed to such an arrangement in 
    writing and a copy of the written agreement, signed by each party, has 
    been filed with the Proceedings Clerk. The agreement must specify the 
    facsimile machine telephone numbers to be used, the hours during which 
    the facsimile machine is in operation and when service will be deemed 
    complete.
    * * * * *
        5. Section 10.21 is revised to read as follows:
    
    
    Sec. 10.21  Commencement of the proceeding.
    
        An adjudicatory proceeding is commenced when a complaint and notice 
    of hearings is filed with the Office of Proceedings.
        6. Section 10.22 is amended by adding a new sentence at the end of 
    the introductory text in paragraph (b) and adding new paragraphs (b)(1) 
    and (b)(2) to read as follows:
    
    
    Sec. 10.22  Complaint and notice of hearing:
    
    * * * * *
        (b) Service. * * * If a respondent is not found at his last known 
    business or residence address and no forwarding address is available, 
    additional service may be made, at the discretion of the Commission, as 
    follows:
        (1) By publishing a notice of the filing of the proceeding and a 
    summary of the complaint, approved by the Commission or the 
    Administrative Law Judge, once a week for three consecutive weeks in 
    one or more newspapers having a general circulation where the 
    respondent's last known business or residence address was located and, 
    if ascertainable, where the respondent is believed to reside or be 
    doing business currently; and
        (2) By continuously displaying the complaint on the Commission's 
    Internet web site during the period referred to in paragraph (b)(1) of 
    this section.
        7. Section 10.4 is amended by revising paragraphs (a), (b) and (c) 
    to read as follows.
    
    
    Sec. 10.24  Amendments and supplemental pleadings.
    
        (a) Complaint and notice of hearing. The Commission may, at any 
    time, amend the complaint and notice of hearing in any proceeding. If 
    the Commission so amends the complaint and notice of hearing, the 
    Administrative Law Judge shall adjust the scheduling of the proceeding 
    to the extent necessary to avoid any prejudice to any of the parties to 
    the proceeding. Upon motion to the Administrative Law Judge and with 
    notice to all other parties and the Commission, the Division of 
    Enforcement may amend a complaint to correct typographical and clerical 
    errors or to make other technical, non-substantive revisions within the 
    scope of the original complaint.
        (b) Other pleadings. Except for the complaint and notice of 
    hearing, a party may amend any pleading once as a matter of course at 
    any time before a responsive pleading is served or, if the pleading is 
    one to which no responsive pleading is permitted, he may amend it 
    within 20 days after it is served. Otherwise a party may amend a 
    pleading only by leave of the Administrative Law Judge, which shall be 
    freely given when justice so requires.
        (c) Response to amended pleadings. Any party may file a response to 
    any amendment to any pleading, including the complaint, within ten days 
    after the date of service upon him of the amendment or within the time 
    provided to respond to the original pleading, whichever is later.
    * * * * *
        8. Section 10.26 is amended by revising the last sentence in 
    paragraph (b) to read as follows:
    
    
    Sec. 10.26  Motions and other papers.
    
    * * * * *
        (b) Answers to motions. * * * The absence of a response to a motion 
    may be considered by the Administrative Law Judge or the Commission in 
    deciding whether to grant the requested relief.
    * * * * *
        9. Section 10.41 is amended by redesignating paragraphs (f) and (g) 
    as paragraphs (g) and (h), respectively, and
    
    [[Page 55792]]
    
    by adding a new paragraph (f) to read as follows.
    
    
    Sec. 10.41  Prehearing conferences; procedural matters.
    
    * * * * *
        (f) Considering objections to the introduction of documentary 
    evidence and the testimony of witnesses identified in prehearing 
    materials filed or otherwise furnished by the parties pursuant to 
    Sec. 10.42;
    * * * * *
        10. Section 10.42 is amended by revising paragraph (a); by 
    redesignating paragraphs (b) and (c) as paragraphs (c) and (e), 
    respectively; by revising newly redesignated paragraphs (c) and (e)(1); 
    and by adding a new paragraph (b), a new paragraph (d) and a new 
    paragraph (f), to read as follows.
    
    
    Sec. 10.42  Discovery.
    
        (a) Prehearing Materials--(1) In general. Unless otherwise ordered 
    by an Administrative Law Judge, the parties to a proceeding shall 
    furnish to all other parties to the proceeding on or before a date set 
    by the Administrative Law Judge in the form of a prehearing memorandum 
    or otherwise:
        (i) An outline of its case or defense;
        (ii) The legal theories upon which it will rely;
        (iii) The identify, and the city and state of residence, of each 
    witness, other than an expert witness, who is expected to testify on 
    its behalf, along with a brief summary of the matters to be covered by 
    the witness's expected testimony;
        (iv) A list of documents which it intends to introduce at the 
    hearing, along with copies of any such documents which the other 
    parties do not already have in their possession and to which they do 
    not have reasonably ready access.
        (2) Expert witnesses. Unless otherwise ordered by the 
    Administrative Law Judge, in addition to the information described in 
    paragraph (a)(1) of this section, any party who intends to call an 
    expert witness shall also furnish to all other parties to the 
    proceeding on or before a date set by the Administrative Law Judge:
        (i) A statement identifying the witness and setting forth his or 
    her qualifications;
        (ii) A list of any publications authored by the witness within the 
    preceding ten years;
        (iii) A list of all cases in which the witness has testified as an 
    expert, at trial or in deposition, within the preceding four years;
        (iv) A complete statement of all opinions to be expressed by the 
    witness and the basis or reasons for those opinions; and
        (v) A list of any documents, data or other written information 
    which were considered by the witness in forming his or her opinions, 
    along with copies of any such documents, data or information which the 
    other parties do not already have in their possession and to which they 
    do not have reasonably ready access.
        (3) The foregoing procedures shall not be deemed applicable to 
    rebuttal evidence submitted by any party at the hearing.
        (4) In any action where a party fails to comply with the 
    requirements of this paragraph (a), the Administrative Law Judge may 
    make such orders in regard to the failure as are just, taking into 
    account all of the relevant facts and circumstances of the failure to 
    comply.
        (b) Investigatory materials--(1) In general. Unless otherwise 
    ordered by the Commission or the Administrative Law Judge, the Division 
    of Enforcement shall make available for inspection and copying by the 
    respondents, prior to the scheduled hearing date, any of the following 
    documents that were obtained by the Division prior to the institution 
    of proceedings in connection with the investigation that led to the 
    complaint and notice of hearing:
        (i) All documents that were produced pursuant to subpoenas issued 
    by the Division or otherwise obtained from persons not employed by the 
    Commission, together with each subpoena or written request, or relevant 
    portion thereof, that resulted in the furnishing of such documents to 
    the Division; and
        (ii) All transcripts of investigative testimony and all exhibits to 
    those transcripts.
        (2) Documents that may be withheld. The Division of Enforcement may 
    withhold any document that would disclose:
        (i) The identify of a confidential source;
        (ii) Confidential investigatory techniques or procedures;
        (iii) Separately the market positions, business transactions, trade 
    secrets or names of customers of any persons other than the 
    respondents, unless such information is relevant to the resolution of 
    the proceeding;
        (iv) Information relating to, or obtained with regard to, another 
    matter of continuing investigatory interest to the Commission or 
    another domestic or foreign governmental entity, unless such 
    information is relevant to the resolution of the proceeding; or
        (v) Information obtained from a domestic or foreign governmental 
    entity or from a foreign futures authority that either is not relevant 
    to the resolution of the proceeding or was provided on condition that 
    the information not be disclosed or that it only be disclosed by the 
    Commission or a representative of the Commission as evidence in an 
    enforcement or other proceeding.
        (3) Nothing in paragraphs (b)(1) and (b)(2) of this section shall 
    limit the ability of the Division of Enforcement to withhold documents 
    or other information on the grounds of privilege, the work product 
    doctrine or other protection from disclosure under applicable law. When 
    the investigation by the Division of Enforcement that led to the 
    pending proceeding encompasses transactions, conduct or persons other 
    than those involved in the proceeding, the requirements of (b)(1) of 
    this section shall apply only to the particular transaction, conduct 
    and persons involved in the proceeding.
        (4) Index of withheld documents. When documents are made available 
    for inspection and copying pursuant to paragraph (b)(1) of this 
    section, the Division of Enforcement shall furnish the respondents with 
    an index of all documents that are withheld pursuant to paragraphs 
    (b)(2) or (b)(3) of this section, except for any documents that are 
    being withheld because they disclose information obtained from a 
    domestic or foreign governmental entity or from a foreign futures 
    authority on condition that the information not be disclosed or that it 
    only be disclosed by the Commission or a representative of the 
    Commission as evidence in an enforcement or other proceeding, in which 
    case the Division shall inform the other parties of the fact that such 
    documents are being withheld at the time it furnishes its index under 
    this paragraph, but no further disclosures regarding those documents 
    shall be required. This index shall describe the nature of the withheld 
    documents in a manner that, to the extent practicable without revealing 
    any information that itself is privileged or protected from disclosure 
    by law or these rules, will enable the other parties to assess the 
    applicability of the privilege or protection claimed.
        (5) Arrangements for inspection and copying. Upon request by the 
    respondents, all documents subject to inspection and copying pursuant 
    to this paragraph (b) shall be made available to the respondents at the 
    Commission office nearest the location where the respondents or their 
    counsel live or work. Otherwise, the documents shall be made available 
    at the Commission office where they are ordinarily maintained or at any 
    other location agreed upon by the parties in writing. Upon payment of 
    the appropriate fees
    
    [[Page 55793]]
    
    set forth in appendix B to part 145 of this chapter, any respondent may 
    obtain a photocopy of any document made available for inspection. 
    Without the prior written consent of the Division of Enforcement, no 
    respondent shall have the right to take custody of any documents that 
    are made available for inspection and copying, or to remove them from 
    Commission premises.
        (6) Failure to make documents available. In the event that the 
    Division of Enforcement fails to make available documents subject to 
    inspection and copying pursuant to this paragraph (b), no rehearing or 
    reconsideration of a matter already heard or decided shall be required, 
    unless the respondent demonstrates prejudice caused by the failure to 
    make the documents available.
        (7) Requests for confidential treatment; protective orders. If a 
    person has requested confidential treatment of information submitted by 
    him or her, either pursuant to rules adopted by the Commission under 
    the Freedom of Information Act (part 145 of this chapter) or under the 
    Commission's Rules Relating To Investigations (part 11 of this 
    chapter), the Division of Enforcement shall notify him or her, if 
    possible, that the information is to be disclosed to parties to 
    proceeding and he or she may apply to the Administrative Law Judge for 
    an order protecting the information from disclosure, consideration of 
    which shall be governed by Sec. 10.68(c)(2).
        (c) Witness statements--(1) In general. Each party to an 
    adjudicatory proceeding shall make available to the other parties any 
    statement of any person whom the party calls, or expects to call, as a 
    witness that relates to the anticipated testimony of the witness and is 
    in the party's possession. Such statements shall include the following:
        (i) Transcripts of investigative, deposition, trial or similar 
    testimony given by the witness,
        (ii) Written statements signed by the witness, and
        (iii) Substantially verbatim notes of interviews with the witness, 
    and all exhibits to such transcripts, statements and notes. For 
    purposes of this paragraph (c), ``substantially verbatim notes'' means 
    that fairly record the exact words of the witness, subject to minor, 
    inconsequential deviations. Such statements shall include memoranda and 
    other writings authored by the witness that contain information 
    relating to his anticipated testimony. The Division of Enforcement 
    shall produce witness statements pursuant to this paragraph prior to 
    the scheduled hearing date, at a time to be designated by the 
    Administrative Law Judge. Respondents shall produce witness statements 
    pursuant to this paragraph at the close of the Division's case in chief 
    during the hearing. If necessary, the Administrative Law Judge shall, 
    upon request, grant the Division a continuance of the hearing in order 
    to review and analyze any witness statements produced by the 
    respondents.
        (2) Nothing in paragraph (c)(1) of this section shall limit the 
    ability of a party to withhold documents or other information on the 
    grounds of privilege, the work product doctrine or other protection 
    from disclosure under applicable law.
        (3) Index of withheld documents. When a party makes witness 
    statements available pursuant to paragraph (c)(1) of this section, he 
    or she shall furnish each of the other parties with an index of all 
    documents that the party is withholding on the grounds of privilege or 
    work product. This index shall describe the nature of the withheld 
    documents in a manner that, to the extent practicable without revealing 
    information that itself is privileged or protected from disclosure by 
    law or these rules, will enable the other parties to assess the 
    applicability of the privilege or protection claimed.
        (4) Failure to produce witness statements. In the event that a 
    party fails to make available witness statements subject to production 
    pursuant to this section, no rehearing or reconsideration of a matter 
    already heard or decided shall be required, unless another party 
    demonstrates prejudice caused by the failure to make the witness 
    statements available.
        (d) Modification of production requirements. The Administrative Law 
    Judge shall modify any of the requirements of paragraphs (a) through 
    (c) of this section that any party can show is unduly burdensome or is 
    otherwise inappropriate under all the circumstances.
        (e) Admissions--(1) Request for admissions. Any party may serve 
    upon any other party, with a copy to the Proceedings Clerk, a written 
    request for admission of the truth of any facts relevant to the pending 
    proceeding set forth in the request. Each matter of which an admission 
    is requested shall be separately set forth. Unless prior written 
    approval is obtained from the Administrative Law Judge, the number of 
    requests shall not exceed 50 in number including all discrete parts and 
    subparts.
    * * * * *
        (f) Objections to authenticity or admissibility of documents--(1) 
    Identification of documents. The Administrative Law Judge, acting on 
    his or her own initiative or upon motion by any party, may direct each 
    party to serve upon the other parties, with a copy to the Proceedings 
    Clerk, a list identifying the documents that it intends to introduce at 
    the hearing and requesting the other parties to file and serve a 
    response disclosing any objection, together with the factual or legal 
    grounds therefor, to the authenticity or admissibility of each document 
    identified on the list. A copy of each document identified on the list 
    shall be served with the request, unless the party being served already 
    has the document in his possession or has reasonably ready access to 
    it.
        (2) Objections to authenticity or admissibility. Within 20 days 
    after service or at such other time as may be designated by the 
    Administrative Law Judge, each party upon whom the list described in 
    paragraph (f)(1) of this section was served shall file a response 
    disclosing any objection, together with the factual or legal grounds 
    therefor, to the authenticity or admissibility of each document 
    identified on the list. Except for relevance, waste of time or needless 
    presentation of cumulative evidence, all objections not raised may be 
    deemed waived.
        (3) Rulings on objections. In his or her discretion, the 
    Administrative Law Judge may treat as a motion in limine any list 
    served by a party pursuant to paragraph (f)(1) of this section, where 
    any other party has filed a response objecting to the authenticity or 
    the admissibility on any item listed. In that event, after affording 
    the parties an opportunity to file briefs containing arguments on the 
    motion to the degree necessary for a decision, the ALJ may rule on any 
    objection to the authenticity or admissibility of any document 
    identified on the list in advance of trial, to the extent appropriate.
        11. Section 10.66 is amended by revising paragraph (b) to read as 
    follows:
    
    
    Sec. 10.66  Conduct of the hearing.
    
    * * * * *
        (b) Rights of parties. Every party shall be entitled to due notice 
    of hearings, the right to be represented by counsel, and the right to 
    cross-examine witnesses, present oral and documentary evidence, submit 
    rebuttal evidence, raise objections, make arguments and move for 
    appropriate relief. Nothing in this paragraph limits the authority of 
    the Commission or the Administrative Law Judge to exercise authority 
    under other provision of the Commission's rules, to enforce the 
    requirements that evidence presented be relevant to the proceeding
    
    [[Page 55794]]
    
    or to limit cross-examination to the subject matter of the direct 
    examination and matters affecting the credibility of the witness.
    * * * * *
        12. Section 10.68 is amended by revising paragraphs (a)(1), (a)(2), 
    (b)(3) and (c)(1), by revising the heading of paragraph (c), by adding 
    four new sentences to the end of paragraph (c)(2), by revising the 
    second sentence in paragraph (e)(1) and by adding a new sentence to the 
    end of paragraph (f), to read as follows.
    
    
    Sec. 10.68  Subpoenas.
    
        (a) Application for and issuance of subpoenas--(1) Application for 
    and issuance of subpoena ad testificandum. Any party may apply to the 
    Administrative Law Judge for the issuance of a subpoena requiring a 
    person to appear and testify (subpoena ad testificandum) at the 
    hearing. All requests for the issuance of a subpoena ad testificandum 
    shall be submitted in duplicate and in writing and shall be served upon 
    all other parties to the proceeding, unless the request is made on the 
    record at the hearing or the requesting party can demonstrate why, in 
    the interest of fairness or justice, the requirement of a written 
    submission or service on one or more of the other parties is not 
    appropriate. A subpoena ad testificandum shall be issued upon a showing 
    by the requesting party of the general relevance of the testimony being 
    sought and the tender of an original and two copies of the subpoena 
    being requested, except in those situations described in paragraph (b) 
    of this section, where additional requirements are set forth.
        (2) Application for subpoena duces tecum. An application for a 
    subpoena requiring a person to produce specified documentary or 
    tangible evidence (subpoena duces tecum) at any designated time or 
    place may be made by any party to the Administrative Law Judge. All 
    requests for the issuance of a subpoena ad testificandum shall be 
    submitted in duplicate and in writing and shall be served upon all 
    other parties to the proceeding, unless the request is made on the 
    record at the hearing or the requesting party can demonstrate why, in 
    the interest of fairness or justice, the requirement of a written 
    submission or service on one or more of the other parties is not 
    appropriate. Except in those situations described in paragraph (b) of 
    this section, where additional requirements are set forth, each 
    application for the issuance of a subpoena duces tecum shall contain a 
    statement or showing of general relevance and reasonable scope of the 
    evidence being sought and be accompanied by an original and two copies 
    of the subpoena being requested, which shall describe the documentary 
    or tangible evidence to be subpoenaed with as much particularity as is 
    feasible.
    * * * * *
        (b) * * *
        (3) Rulings. The motion shall be decided by the Administrative Law 
    Judge and shall provide such terms or conditions for the production of 
    the material, the disclosure of the information or the appearance of 
    the witness as may appear necessary and appropriate for the protection 
    of the public interest.
    * * * * *
        (c) Motions to quash subpoenas; protective orders--(1) Application. 
    Within 10 days after a subpoena has been served or at any time prior to 
    the return date thereof, a motion to quash or modify the subpoena or 
    for a protective order limiting the use or disclosure of any 
    information, documents or testimony covered by the subpoena may be 
    filed with the Administrative Law Judge who issued it. At the same 
    time, a copy of the motion shall be served on the party who requested 
    the subpoena and all other parties to the proceeding. The motion shall 
    include a brief statement setting forth the basis for the requested 
    relief. If the Administrative Law Judge to whom the motion has been 
    directed has not acted upon the motion by the return date, the subpoena 
    shall be stayed pending his or her final action.
        (2) Diposition. * * * The Administrative Law Judge may issue a 
    protective order sought under paragraph (c)(1) of this section or under 
    any other section of these rules upon a showing of good cause. In 
    considering whether good cause exists to issue a protective order, the 
    Administrative Law Judge shall weigh the harm resulting from disclosure 
    against the benefits of disclosure. Good cause shall only be 
    established upon a showing that the person seeking the protective order 
    will suffer a clearly defined and serious injury if the offer is not 
    issued, provided, however, that any such injury shall be balanced 
    against the public's right of access to judicial records. No protective 
    order shall be granted that will prevent the Division of Enforcement or 
    any respondent from adequate presenting its case.
    * * * * *
        (e) Service of subpoenas--(1) How effected. * * * Service of a 
    subpoena upon any other person shall be made by delivering a copy of 
    the subpoena to him as provided in paragraphs (e)(2) or (e)(3) of this 
    section, as applicable, and by tendering to him or her the fees for one 
    day's attendance and mileage as specified in paragraph (d) of this 
    section. * * *
        (f) Enforcement of subpoenas. * * * When instituting an action to 
    enforce a subpoena requested by the Division of Enforcement, the 
    Commission, in its discretion, may delegate to the Director of the 
    Division or any commission employee designated by the Director and 
    acting under his or her direction, or to any other employee of the 
    Commission, authority to serve as the Commission's counsel in such 
    subpoena enforcement action.
        13. Section 10.84 is amended by revising paragraph (b) to read as 
    follows:
    
    
    Sec. 10.84  Initial decision
    
    * * * * *
        (b) Filing of initial decision. After the parties have been 
    afforded an opportunity to file their proposed findings of fact, 
    proposed conclusions of law and supporting briefs pursuant to 
    Sec. 10.82, the Administrative Law Judge shall prepare upon the basis 
    of the record in the proceeding and shall file with the Proceedings 
    Clerk his or her decision, a copy of which shall be served by the 
    Proceedings Clerk upon each of the parties.
    * * * * *
        14. Section 10.101 is amended by revising paragraph (b)(1) to read 
    as follows:
    
    
    Sec. 10.101  Interlocutory appeals.
    
    * * * * *
        (b) Procedure to obtain interlocutory review--(1) In general. An 
    application for interlocutory review may be filed within five days 
    after notice of the Administrative Law Judge's ruling on a matter 
    described in paragraphs (a)(1), (a)(2), (a)(3) or (a)(4) of this 
    section, except if a request for certification under paragraph (a)(5) 
    of this section has been filed with the Administrative Law Judge within 
    five days after notice of the Administrative Law Judge's ruling on the 
    matter. If a request for certification has been filed, an Application 
    for interlocutory review under paragraphs (a)(1) through (a)(5) of this 
    section may be filed within five days after notification of the 
    Administrative Law Judge's ruling on such request.
        15. Section 10.102 is amended by revising paragraphs (a) and (d)(2) 
    and the first sentence of (e)(2); by redesignating paragraph (b)(3) as 
    paragraph (b)(4) and revising it; by adding a new sentence between the 
    third and fourth sentences of paragraph (e)(1); and by adding a new 
    paragraph (b)(3) and a new paragraph (b)(5), to
    
    [[Page 55795]]
    
    read as follows. (The undesignated paragraph after (b)(3) and before 
    paragraph(c) should appear after new (b)(5) and before paragraph (c).)
    
    
    Sec. 10.102  Review of initial decision.
    
        (a) Notice of appeal--(1) In general. Any party to a proceeding may 
    appeal to the Commission an initial decision or a dismissal or other 
    final disposition of the proceeding by the Administrative Law Judge as 
    to any party. The appeal should be initiated by serving and filing with 
    the Proceedings Clerk a notice of appeal within 15 days after service 
    of the initial decision or other order terminating the proceeding; 
    where service of the initial decision or other order terminating the 
    proceeding is effected by mail or commercial carrier, the time within 
    which the party served may file a notice of appeal shall be increased 
    by three days.
        (2) Cross appeals. If a timely notice of appeal is filed by one 
    party, any other party may file a notice of appeal within 15 days after 
    service of the first notice of within 15 days after service of the 
    initial decision or other order terminating the proceeding, whichever 
    is later.
        (3) Confirmation of filing. The Proceedings Clerk shall confirm the 
    filing of a notice of appeal by mailing a copy thereof to each other 
    party.
        (b) * * *
        (3) Reply brief. With 14 days after service of an answering brief, 
    the party that filed the first brief may file a reply brief.
        (4) No further briefs shall be permitted, unless so ordered by the 
    Commission on its own motion.
        (5) Cross appeals. In the event that any party files a notice of 
    cross appeal pursuant to paragraph (a)(2) of this section, the 
    Commission shall, to the extent practicable, adjust the briefing 
    schedule and any page limitations otherwise applicable under this 
    section so as to accommodate consolidated briefing by the parties.
    * * * * *
        (d) * * *
        (2) The answering brief generally shall follow the same style as 
    prescribed for the appeal brief but may omit a statement of the issues 
    or of the case if the party does not dispute the issues and statement 
    of the case contained in the appeal brief. Any reply brief shall be 
    confined to matters raised in the answering brief and shall be limited 
    to 15 pages in length.
    * * * * *
        (3) Appendix to briefs--(1) Designation of contents of appendix. * 
    * * Any reply brief filed by the appellant may, if necessary, 
    supplement the appellant's previous designation. * * *
        (2) Preparation of the appendix. Within 15 days after the last 
    answering brief or reply brief of a party was due to be filed, the 
    Office of Proceedings shall prepare an appendix to the briefs which 
    will contain a list of the relevant docket entries filed in the 
    proceedings before the Administrative Law Judge, the initial decision 
    and order of the Administrative Law Judge, the pleadings filed on 
    behalf of the parties who are participating in the appeal and such 
    other parts of the record designated by the parties to the appeal in 
    accordance with the procedures set forth in paragraph (e)(1) of this 
    section. * * *
    * * * * *
        16. Section 10.106 is amended by revising the section heading; by 
    designating the existing text as paragraph (a) and adding a paragraph 
    heading to it; and by adding a new paragraph (b) and a new paragraph 
    (c) to read as follows.
    
    
    Sec. 10.106  Reconsideration; stay pending judicial review.
    
        (a) Reconsideration. * * *
        (b) Stay pending judicial appeal--(1) Application for stay. Within 
    15 days after service of a Commission opinion and order imposing upon 
    any party any of the sanctions listed in Secs. 10.1(a) through 10.1(e), 
    that party may file an application with the Commission requesting that 
    the effective date of the order be stayed pending judicial review. The 
    application shall state the reasons why a stay is warranted and the 
    facts relied upon in support of the stay. Any averments contained in 
    the application must be supported by affidavits or other sworn 
    statements or verified statements made under penalty of perjury in 
    accordance with the provisions of 28 U.S.C. 1746.
        (2) Standards for issuance of stay. The Commission may grant an 
    application for a stay pending judicial appeal upon a showing that:
        (i) The applicant is likely to succeed on the merits of his appeal;
        (ii) Denial of the stay would cause irreparable harm to the 
    applicant; and
        (iii) Neither the public interest nor the interest of any other 
    party will be adversely affected if the stay is granted.
        (3) Civil monetary penalties and restitution. Nothwithstanding the 
    requirements set forth in paragraph (b)(2) of this section, the 
    Commission shall grant any application to stay the imposition of a 
    civil monetary penalty or an order to pay a specific sum as restitution 
    if the applicant has filed with the Proceedings Clerk a surety bond 
    guaranteeing full payment of the penalty or restitution plus interest 
    in the event that the Commission's opinion and order is sustained or 
    the applicant's appeal is not perfected or is dismissed for any reason 
    and the Commission has determined that neither the public interest nor 
    the interest of any other party will be affected by granting the 
    application. The required surety bond shall be in the form of an 
    undertaking by a surety company on the approved list of sureties issued 
    by the Treasury Department of the United States, and the amount of 
    interest shall be calculated in accordance with 28 U.S.C. 1961(a) and 
    (b), beginning on the date 30 days after the Commission's opinion and 
    order was served on the applicant. In the event the Commission denies 
    applicant's motion for a stay, the Proceedings Clerk shall return the 
    surety bond to the applicant.
        (c) Response. Unless otherwise requested by Commission, no response 
    to a petition for reconsideration pursuant to paragraph (a) of this 
    section or an application for a stay pursuant to paragraph (b) of this 
    section shall be filed. The Commission shall set the time for filing 
    any response at the time it asks for a response. the Commission shall 
    not grant any such petition or application without providing other 
    parties to the proceeding with an opportunity to respond.
        17. A new Subpart 1 is added to Part 10, to read as follows.
    
    Subpart 1--Restitution Orders
    
    Sec.
    10.110  Basis for issuance of restitution orders.
    10.111  Recommendation of procedure for implementing restitution.
    10.112  Administraton of restitution.
    10.113  Right to challenge distribution of funds to customers.
    
    Subpart 1--Restitution Orders
    
    
    Sec. 10.110  Basis for issuance of restitution orders.
    
        (a) Appropriateness of restitution as a remedy. In any proceeding 
    in which an order requiring restitution may be entered, the 
    Administrative Law Judge shall, as part of his or her initial decision, 
    determine whether restitution is appropriate. In deciding whether 
    restitution is appropriate, the Administrative Law Judge, in his or her 
    discretion, may consider the degree of complexity likely to be involved 
    in establishing claims, the likelihood that claimants can obtain 
    compensation through their own efforts, the ability of the respondent 
    to pay claimants damages that his or her violations have
    
    [[Page 55796]]
    
    caused, the availability of resources to administer restitution and any 
    other matters that justice may require.
        (b) Restitution order. If the Administrative Law Judge determines 
    that restitution is an appropriate remedy in a proceeding, he or she 
    shall issue an order specifying the following:
        (1) All violations that form the basis for restitution;
        (2) The particular persons, or class or classes of persons, who 
    suffered damages proximately caused by each such violation;
        (3) The method of calculating the amount of damages to be paid as 
    restitution; and
        (4) If then determinable, the amount of restitution the respondent 
    shall be required to pay.
    
    
    Sec. 10.111  Recommendation of proceeding for implementing restitution.
    
        Except as provided by Sec. 10.114, after such time as any order 
    requiring restitution becomes effective (i.e., becomes final and is not 
    stayed), the Division of Enforcement shall petition the Commission for 
    an order directing the Division to recommend to the Commission or, in 
    the Commission's discretion, the Administrative Law Judge a procedure 
    for implementing restitution. Each party that has been ordered to pay 
    restitution shall be afforded an opportunity to review the Division of 
    Enforcement's recommendations and be heard.
    
    
    Sec. 10.112  Administration of restitution.
    
        Based on the recommendations submitted pursuant to Sec. 10.111, the 
    Commission or the Administrative Law Judge, as applicable, shall 
    establish in writing a procedure for identifying and notifying 
    individual persons who may be entitled to restitution, receiving and 
    evaluating claims, obtaining funds to be paid as restitution from the 
    party and distributing such funds to qualified claimants. As necessary 
    or appropriate, the Commission or the Administrative Law Judge may 
    appoint any person, including an employee of the Commission, to 
    administer, or assist in administering, such restitution procedure. 
    Unless otherwise ordered by the Commission, all costs incurred in 
    administering an order of restitution shall be paid from the 
    restitution funds obtained from the party who was so sanctioned; 
    provided, however, that if the administrator is a Commission employee, 
    no fee shall be charged for his or her services or for services 
    performed by any other Commission employee working under his or her 
    direction.
    
    
    Sec. 10.113  Right to challenge distribution of funds to customers.
    
        Any order of an Administrative Law Judge directing or authorizing 
    the distribution of funds paid as restitution to individual customers 
    shall be considered a final order for appeal purposes to be subject to 
    Commission review pursuant to Sec. 10.102.
    
    
    Sec. 10.114  Acceleration of establishment of restitution procedure.
    
        The procedures provided for by Secs. 10.111 through 10.113 may be 
    initiated prior to the issuance of the initial decision of the 
    Administrative Law Judge and may be combined with the hearing in the 
    proceeding, either upon motion by the Division of Enforcement or if the 
    Administrative Law Judge, acting on his own initiative or upon motion 
    by a respondent, concludes that the presentation, consideration and 
    resolution of the issues relating to the restitution procedure will not 
    materially delay the conclusion of the hearing or the issuance of the 
    initial decision.
        18. A new appendix A is added to part 10, to read as follows.
    
    Appendix A to Part 10--Commission Policy Relating to the Acceptance 
    of Settlements in Administrative and Civil Proceedings
    
        It is the policy of the Commission not to accept any offer of 
    settlement submitted by any respondent or defendant in any 
    administrative or civil proceedings, if the settling respondent or 
    defendant wishes to continue to deny the allegations of the 
    complaint. In accepting a settlement and entering an order finding 
    violations of the Act and/or regulations promulgated under the Act, 
    the Commission makes uncontested findings of fact and conclusions of 
    law. The Commission does not believe it would be appropriate for it 
    to be making such uncontested findings of violations if the party 
    against whom the findings and conclusions are to be entered is 
    continuing to deny the alleged misconduct.
        The refusal of a settling respondent or defendant to admit the 
    allegations in a Commission-Instituted complaint shall be treated as 
    a denial, unless the party states that he or she neither admits nor 
    denies the allegations. In that event, the proposed offer of 
    settlement, consent or consent order must include a provision 
    stating that, by neither admitting nor denying the allegations, the 
    settling respondent or dependent agrees that neither he or she nor 
    any of his or her agents or employees under his authority or control 
    shall take any action or make any public statement denying, directly 
    or indirectly, any allegation in the complaint or creating, or 
    tending to create, the impression that the complaints is without a 
    factual basis; provided, however, that nothing in this provision 
    shall affect the settling respondent's or defendant's testimonial 
    obligation, or right to take legal positions, in other proceedings 
    to which the Commission is not a party.
    
        Issued in Washington, DC, on October 8, 1998, by the Commission.
    Jean A. Webb,
    Secretary of the Commission.
    [FR Doc. 98-27983 Filed 10-15-98; 10:43 am]
    BILLING CODE 6351-01-M
    
    
    

Document Information

Effective Date:
11/18/1998
Published:
10/19/1998
Department:
Commodity Futures Trading Commission
Entry Type:
Rule
Action:
Final rules.
Document Number:
98-27983
Dates:
The effective date of these rules November 18, 1998. The amended Rules of Practice shall apply only to proceedings initiated on or after the effective date. All proceedings initiated before the effective date shall be conducted under the former Rules of Practice.
Pages:
55784-55796 (13 pages)
PDF File:
98-27983.pdf
CFR: (21)
17 CFR 10.1
17 CFR 10.9
17 CFR 10.12
17 CFR 10.21
17 CFR 10.22
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