Securities Lawyer's Deskbook
                         published by The University of Cincinnati College of Law
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General Rules and Regulations
promulgated
under the
Securities Exchange Act of 1934





Rule 15Ba2-1 -- Application for Registration of Municipal Securities Dealers Which are Banks or Separately Identifiable Departments or Divisions of Banks


  1. An application for registration, pursuant to Section 15B(a) of the Act, of a municipal securities dealer which is a bank (as defined in Section 3(a)(6) of the Act) or a separately identifiable department or division of a bank (as defined by the Municipal Securities Rulemaking Board), shall be filed with the Commission on Form MSD, in accordance with the instructions contained therein.

  2. If the information contained in any application for registration pursuant to paragraph (a) of this rule, or in any amendment to such application, is or becomes inaccurate for any reason, applicant shall promptly file an amendment of Form MSD correcting such information.

  3. Every amendment filed pursuant to this rule shall constitute a "report" within the meaning of Sections 17 and 32(a) of the Act.

Regulatory History


40 FR 49776, Oct. 24, 1975



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