17 C.F.R. § 200.80a
Link to an amendment published at 83 FR 30333, June 28, 2018.
[See footnotes at end of table]Description Pursuant to section - Securities Act of 1933 Registration statement providing financial and other information concerning securities offered for public sale, filed under Regulation C (17 CFR 230.400 et seq.)6 Prospectuses (selling circulars) in connection with registration statement10 Periodic reports (annual, quarterly, and current) to keep reasonably current the information in registration statement( 1) Requests for extension of time to file information, document, or report( 2) Reports of sales of registered securities and use of proceeds thereunder by first time registrants19(a), 20(a) Report by issuers of securities quoted on NASDAQ Inter-Dealer Quotation System( 1) Preliminary data (prospectus, circular letters, etc.) to oil offering (Regulation B) (17 CFR 230.300 et seq.)3(b) Offering sheets for oil or gas rights and royalties under Regulation B for exemption from registration provisions (17 CFR 230.300 et seq.)3(b) Notifications of exemption from registration filed under Regulation A, E, and F (17 CFR 230.251, 230.601, 230.651 et seq.)3(b) Offering circulars and written advertisements or other communications under Regulations A, E, and F (17 CFR 230.251, 230.601, 230.651 et seq.)3(b) Report of sales and use of proceeds (Regulations A and E) (17 CFR 230.251, 230.601 et seq.)3(b) Consent by non-resident to service of process (Regulation A) (17 CFR 230.251 et seq.)3(b) Application for relief from disability under Regulations A and F (17 CFR 230.651 et seq.)3(b) Notice of proposed resale of restricted securities and resale of securities by control persons (17 CFR 230.144)4(1), 4(4) Notice of proposed sale by non-controlling person of restricted securities of issuers which do not satisfy all of the conditions of Rule 144 (17 CFR 230.237)3(b) Notice of sale of securities by closely held issuers (issuers with 100 or less beneficial owners) other than investment companies, registered or required to be registered under the Investment Company Act of 1940 (17 CFR 230.240)3(b)
[See footnotes at end of table]Description Pursuant to section - Securities Exchange Act of 1934 Registration statement (securities listed on a national securities exchange)12(b) Registration statement (securities traded over-the-counter)12(g) Exemption from section 12(g), 13, 14, 15, or 1612(h) Information by a foreign issuer temporarily exempt from section 12(g)12(g)(3) Certification of exchange approving securities for listing and registration12(d) Periodic reports (annual, quarterly and current) to keep current the information in the above registration statements13(a) Request for extension of time to file information, document, or report12(b) Correspondence between the Commission and registrants that are delinquent in filing certain required reports13(a), 15(d) Report by issuers of securities quoted on NASDAQ Inter-Dealer Quotation System15(d), 13(a) Certificate of termination of Registration for a class of security( 3) Notices of suspension of trading12(d) Application to withdraw or strike a security from listing and registration on a national securities exchange12(d) Notification by an exchange of the admission to trading of a substituted or additional class of security12(a) Definitive proxy soliciting materials filed under Regulation 14A (17 CFR 240.14a-1 et seq.)14(a) Distribution of information to security holders from whom proxies are not solicited filed under Regulation C (17 CFR 230.400 et seq.)14(c) Acquisitions, tender offers and solicitations. (17 CFR 240.14d-1 et seq.)13(d), 14(d) Initial statement of beneficial ownership of equity securities by officers, directors and principal stockholders of issuers having listed equity securities; and changes in such ownership16(a) Application for permission to extend unlisted trading privileges, notification of changes, and notification of termination or suspension12(f) Application for registration as a broker and dealer, and amendments or supplements to such application15(b) Reports of financial condition of registered brokers and dealers17 Application for registration as a transfer agent and amendments to such application17A(c) Application for registration as a municipal securities dealer15B(a) Application for registration or exemption as a securities information processor11A(b) Application for registration or exemption as a clearing agency17A(b) Irrevocable appointment of agent for service of process, pleadings and other papers23(a) Notice by non-resident broker or dealer specifying address of place in United States where copies of books and records are located and undertaking to furnish to Commission, upon demand, copies of books and records he is required to maintain17 Subordination agreements15 Initial assessment and information form for registered brokers and dealers not members of a registered national securities association15(b)(8) Annual assessment and information form for registered brokers and dealers not members of a registered national securities association15(b)(8) Reports of market makers and other registered broker-dealers in securities traded on national securities exchanges17(a) Reports by registered brokers and dealers who are OTC Market in Makers in any OTC Margin Securities17(a) Proposed rule changes by all self-regulatory organizations19(b) Notice as to stated policies, practices and interpretations of self-regulatory organizations19(b) Application by an exchange for registration or exemption from registration as a national securities exchange6(a) Annual amendments and supplemental material filed to keep reasonably current the information contained in application for registration or exemption6(e) Record disposal plan of national securities exchanges17 Application for listing securities on an exempted exchange12(b) Periodic reports to keep reasonably current the information contained in application for listing securities on exempted exchange13 Certification of exempted exchange approving securities for listing12(d) Application for registration as a national securities association or affiliated securities association15A Annual supplement consolidated to keep reasonably current the information in the above application15A Report of changes in membership status of any of its members required of national securities exchanges and registered national securities associations17, 19 Application by a national securities association or a broker or dealer for admission or continuance of a broker or dealer as member of a national securities association, notwithstanding a disqualification under section 15A(b)(4)15A(b)(4) Application for review of disciplinary action or denial of membership by registered securities association15A(g) Reports on stabilizing activities pertaining to a fixed price offering of securities registered or to be registered under the Securities Act of 1933, or offered or to be offered pursuant to an exemption under Regulation A (17 CFR 230.251 et seq.), or being or to be otherwise offered if aggregate offering price exceeds $500,00017 Plans by exchanges authorizing payment of special commission in connection with a distribution of securities on exchanges10 Suspensions of trading of securities otherwise than on a national securities exchange15(c)(5) Annual and supplemental reports of the Municipal Securities Rulemaking Board17
[See footnotes at end of table]Description Pursuant to section - Trust Indenture Act of 1939 Statement of eligibility and qualification of corporations or individuals as trustees under qualified indenture under which debt security has been or is to be issued305, 307 Application for qualification of indenture under which security (bonds, debentures, notes and similar debt securities) has been or is to be issued307 Application for exemption from provisions of the Act in certain cases304(c), (d) Application re conflict of interest of trustees310(b)(1) Reports by indenture trustee to indenture security holders with respect to eligibility and qualification under section 310313 Application relative to affiliations between trustees and underwriters310(b)(3), 310(b)(6)
[See footnotes at end of table]Description Pursuant to section - Investment Advisers Act of 1940 Application for registration as investment adviser or to amend or supplement such an application203(c), 204 Application for exemption and other relief206A Irrevocable appointment of agent for service of process, pleadings and other papers211(a) Notice by non-resident investment adviser specifying address of place in United States where copies of books and records are located, or204 Undertaking by non-resident investment adviser to furnish to Commission, upon demand, copies of any books or records he is required to maintain204
[See footnotes at end of table]Description Pursuant to section - Investment Company Act of 1940 Notification of registration of investment company, and registration statement covering an offering of securities of investment company evidencing an interest in a portfolio of securities in which the investment company invests8(a), 8(b) Periodic reports (annual and quarterly) to keep reasonably current the information in above registration statement30(a), 30(b)(1) Periodic or interim reports to security holders of registered investment companies30(b)(2) Application for order of the Commission determining registrant has ceased to be an investment company8(f) Fidelity bond, resolution of board of directors, notice of cancellation or termination of bond for officers and employees of investment companies who have access to its securities or funds17(g) Waiver of indemnification of officers and directors of investment companies17(h), 17(i) Report of independent auditors examining records of investment companies17(f) Application by other than registrant for order of Commission declaring corporate name of registrant is misleading or deceptive35(d) Request by company for certificate to be issued to Secretary of Treasury( 4) Proxy soliciting material20(a) 5 Initial statement of beneficial ownership of securities by officers, directors and other specified insiders of registered closed-end investment companies, and changes in such ownership30(f) Application for exemption from provisions of the Act and other relief2(a)(9), 3(b)(2), 6 (b), (c), (d), 7 (d), 10 (e), (f), 11 (a), (c), 12 (d) (1), (d)(2), 14(a), 15 (a), 16(a), 17 (a), (b), (d), (e), 18(i), 22(d), 23 (b) (5), (c)(3), 24(d), 26(a) (2)(C), 28(c), 35(d), and others. Statement of transactions - exemption from provisions of section 10(f)10(f) Application for an ineligible person to serve as officer, director, etc. of a registered investment company9(b) Request for advisory report of the Commission relating to the reorganization of registered investment company25(b) Report of repurchase of its own securities by a closed-end company23(c) Sales literature regarding securities of certain investment companies24(b) Statement of the Federal Savings and Loan Corporation relating to the exemption of certain issuers6(a)(4) Report submitted pursuant to an order of the CommissionDocuments and records resulting from derivative or representative law suits33 Footnotes: 1 Section 15(d) - Securities Exchange Act of 1934. 2 Section 12(b) - Securities Exchange Act of 1934. 3 Section 12(g) - Securities Exchange Act of 1934. 4 Section 851(e)(1) of the Internal Revenue Code of 1954 is applicable. 5 Regulation 14 under the Securities Exchange Act of 1934 is applicable (17 CFR 240.14a-1 et seq.).
Miscellaneous Requests or petitions that a change in the Commission's rules, regulations or forms be made; comments on proposed rules, regulations or forms; issuance, amendment or repeal of rules, regulations or forms promulgated under the various Acts administered by the Commission. Requests for no-action and interpretative letters and responses thereto. Transcripts of proceedings in public hearings including testimony, exhibits received in evidence, intermediate decisions, oral arguments, motions, briefs, exceptions. Commission findings, opinions, orders, rulings and notices issued for public release. Final opinions of the Commission, including concurring and dissenting opinions, as well as orders made by the Commission in the adjudication of cases. A record of the final votes of each member of the Commission in every Commission proceedings concluded after July 1, 1967. Hearings and comments on proposed rules or statements of policy, etc., except where the writer requests that his comments not be made public. Periodic reports filed by the International Bank for Reconstruction and Development under Regulation BW - Rules 1 to 4, section 15(a) of the Bretton Woods Agreement Act (17 CFR part 285). Periodic reports filed by the Inter-American Development Bank, pursuant to Regulation IA (17 CFR part 286) adopted pursuant to section 11(a) of the Inter-American Bank Act. Periodic reports filed by the Asian Development Bank, pursuant to Regulation AD (17 CFR part 287) adopted pursuant to section 11(a) of the Asian Development Bank Act. Copies of papers filed in court, and papers and documents received from courts, are primarily for the use of the Commission attorneys and other members of the staff. These may not always be complete and accurate and may contain nonpublic staff notations. However, in appropriate situations, with the approval of the Office of the General Counsel, examination of such material may be made or copies obtained as a matter of courtesy. Statements of policy and interpretations which have been adopted by the Commission and are not published in the Federal Register. Administrative staff manuals and instructions to the staff that affect a member of the public. Reports by the Commission to the Congress as a whole. Notices of Commission meetings announced to the public as described in § 200.403; announcements of Commission action to close a meeting, or any portion thereof, as described in § 200.404(b) and § 200.405(c); and certifications by the General Counsel, pursuant to § 200.406, that a Commission meeting, or any portion thereof, may be closed to the public.
[41 FR 44696, Oct. 12, 1976, as amended at 42 FR 14693, Mar. 16, 1977; 76 FR 71874, Nov. 21, 2011]