Exemptions for Banks Under Section 3(a)(5) of the Securities Exchange Act of 1934 and Related Rules

Document ID: SEC-2007-1385-0001
Document Type: Rule
Agency: Securities And Exchange Commission
Topics: Broker-Dealers, Reporting and Recordkeeping Requirements, Securities
Federal Register Number: E7-19093
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Details Information

Received Date: October 03 2007, at 07:28 AM Eastern Daylight Time
Comment Start Date: October 3 2007, at 12:00 AM Eastern Standard Time

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