Any rule adopted by the Commission relating
to hypothecation or lending of customer securities;
Any other rule adopted by the Commission
relating to the protection of funds or securities; and
Any rule adopted by the Secretary of the
Treasury pursuant to section 15C(b)(1)
of the Act.
Each self-regulatory organization that has responsibility
for examining a broker or dealer member (including members that are government
securities brokers or government securities dealers registered pursuant to
Section 15C(a)(1)(A) of the Act)
for compliance with applicable financial responsibility rules is authorized
and directed to conduct an inspection of the member, within six months of
the member's registration with the Commission, to determine whether the member
is operating in conformity with applicable financial responsibility rules.
The examining self-regulatory organization is
further authorized and directed to conduct an inspection of the member no
later than twelve months from the member's registration with the Commission,
to determine whether the member is operating in conformity with all other
applicable provisions of the Act and rules thereunder.
In each case where the examining self-regulatory
organization determines that a broker or dealer member has not commenced actual
operations within six months of the member's registration with the Commission,
it shall delay the inspection pursuant to this section until the second six
month period from the member's registration with the Commission.
No inspection need be conducted as provided for
in paragraphs (b) and (c) of this section
if:
The member was registered with the Commission prior
to April 26, 1982;
an inspection of the member has already been conducted
by another self-regulatory organization pursuant to this section;
an inspection of the member has already been conducted
by the Commission pursuant to Section
15(b)(2)(C) of the Act; or
The member is registered with the Commission pursuant
to section 15(b)(11)(A) of the
Act.
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