Securities Lawyer's Deskbook
                         published by The University of Cincinnati College of Law
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Rules and Regulations
promulgated
under the
Investment Company Act of 1940





Rule 30h-1 -- Applicability of Section 16 of the Exchange Act to Section 30(h)


  1. The filing of any statement prescribed under section 16(a) of the Securities Exchange Act of 1934 shall satisfy the corresponding requirements of section 30(h) of the Act.

  2. The rules under section 16 of the Securities Exchange Act of 1934 shall apply to any duty, liability or prohibition imposed with respect to a transaction involving any security of a registered closed-end company under section 30(h) of the Act.

  3. No statements need be filed pursuant to section 30(h) of the Act by an affiliated person of an investment adviser in his or her capacity as such if such person is solely an employee, other than an officer, of such investment adviser.

Regulatory History


56 FR 7275, Feb. 21, 1991; redesignated and revised at 67 FR 43534, 43537, June 28, 2002



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