17 C.F.R. § 200.80f
Link to an amendment published at 83 FR 30333, June 28, 2018.
| File No. | Type of filing | Retention period |
|---|---|---|
| Securities Act of 1933 | ||
| 2-33 | Registration statements and amendments thereto (Regulation C) | 30 years. |
| 2-33 | Periodic reports (annual, quarterly, current, and proxy material) | 30 years. |
| 9- | Notice of proposed resale of restricted securities and resale of securities by control persons (Form 144) | 21 years. |
| 15- | Notice of sale of securities pursuant to Rule 242 (Form 242). (Obsolete) | 6 years. |
| 18- | Applications for exemption from section 5 registration for interests or participations issued in connection with Keogh Plans (section 3(a)(2)) | 10 years. |
| 19- | Notice of sale of securities pursuant to section 4(6) of the Securities Act of 1933 (Form 4(6)). (Obsolete) | 6 years. |
| 20- | Offering sheets for oil or gas royalties - Regulation B (Schedules A, B, C) | 15 years. |
| 20- | Reports of sale (accorded confidential treatment) (Form 1-G) | 7 years. |
| 20- | Reports after termination of offering (Form 3-G) | 7 years. |
| 21- | Notice of sale for offerings under Regulation D and section 4(6) (Form D) | 6 years. |
| 24- | Notification of exemption from registration (Regulation A) | Until completion or termination of offering plus 10 years or order of the Commission permanently suspending exemption, whichever comes first. |
| 29- | Report of issuers of sale of securities deemed not to involve any public offering (Form 146). (Obsolete) | 6 years. |
| 92- | Application for relief from disability (Regulation A) | Until when final action on appeal is taken plus 10 years. |
| 94- | Notification of exemption for assessment or assessable stock (Regulation F) | 10 years. |
| 95- | Notification of exemption for securities issued by a small business investment company (Regulation E) | Until completion or termination of offering plus 5 years or until order of Commission permanently suspending exemption, whichever comes first. |
| 96- | Application for relief from disability (Regulation F) | Until final action on appeal is taken plus 5 years. |
| 98- | Notice of proposed sale by non-controlling person of restricted securities of issuers which do not satisfy all of the conditions of Rule 144 | 6 years. |
| 100- | Notification of exemption pursuant to Rule 236 | 6 years. |
| Securities Exchange Act of 1934 | ||
| 0-1 | Registration statements (sections 12(b) and 12(g), exemptions thereunder) | 30 years. |
| 0-1 | Periodic reports (annual, quarterly, current and proxy materials) | 30 years. |
| 3- | Applications for continuance in membership and applications for review of disciplinary actions (self-regulatory organizations) | 10 years. |
| 4-281 | Consolidated quotation system plan and amendments | For as long as plan remains approved plus 6 years. |
| 4-208 | Intermarket trading system plan and amendments | For as long as plan remains approved plus 6 years. |
| 5- | Acquisitions, tender offers and solicitations | 20 years. |
| 6- | Reports of beneficial ownership of securities (Forms 3, 4, & 5) | 6 years. |
| 7- | Applications for permission to extend unlisted trading privileges and related applications pursuant to Rule 12(f) | 10 years. |
| 8- | Applications for registration as broker, dealer, municipal securities broker, or government securities broker or dealer and related reports | For as long as broker-dealer is registered with the Commission plus 50 years. |
| 8-00-2A | Annual audit report (fiscal or calendar year basis) (Form X-17A-5). (Non-public) Supplemental report detailing Securities Investor Protection Corporation assessment payment or overpayments (Rule 17a-5). (Non-public) | For as long as broker-dealer is registered with the Commission plus 13 years. |
| 8-00-2A-19 | Reports of changes in membership of any of its members required of national securities exchanges and registered national securities associations (Form X-17A-19). (Public) | For as long as broker-dealer is registered with the Commission plus 6 years. |
| 8-00-3X | Examination/inspection reports of brokers and dealers, investment companies and investment advisors | |
| 1. Exam reports: | ||
| a. Home Office | 13 years. | |
| b. Regional Offices | 13 years. | |
| 2. Exam workpapers | 13 years. | |
| 8-00-9 | Uniform application for securities and commodities industry representative and/or agent; certification for associated persons engaged in securities activities outside the jurisdiction of the United States; annual assessment form for registered brokers and dealers not members of a registered national securities association (Forms U-4, SECO 2-F, SECO-4, 5) | For as long as broker-dealer is registered with the Commission plus 50 years. |
| 8-2A10 | Annual report of revenue and expenses filed by exchange members, brokers and dealers (Form X-17A-10). (Obsolete) | 10 years. |
| 8-2A12 | Report by registered brokers and dealers who are over-the-counter market makers in any OTC margin securities (Form X-17A-12) | 6 years. |
| 8-2A16(1), -2A16(2) | Notification by qualified market makers at least five business days before such broker-dealers obtain third market maker exempt credit pursuant to Regulation U; and quarterly report by broker and dealer, who during a calendar quarter is or has been qualified as a third market maker (Forms X-17A-16(1); X-17A-16(2)) (Obsolete) | 6 years. |
| 8-2A17 | Quarterly report filed by every broker-dealer block positioner who has filed a notice pursuant to paragraph (a) of Rule 17a-17 (Form X-17A-17) (Obsolete) | 6 years. |
| 10- | Applications by an exchange for registration as a national securities exchange | For as long as exchange is registered with the Commission plus 6 years. |
| 13- | Applications for listing securities on an exempted exchange, periodic reports | 10 years. |
| 14- | Annual reports of issuers having securities listed on an exempted exchange | 10 years. |
| 16- | Application for registration as a national securities association or affiliated securities associations | For as long as association is registered with the Commission plus 6 years. |
| 17- | Reports on stabilizing activities (Form X-17A-1). (Obsolete) | 6 years. |
| 23- | Applications for exemption pursuant to paragraph (g) of Rule 11Aa3-1 | Until closed plus 6 years. |
| 26- | Plans by exchanges authorizing payment of special commission in connection with a distribution of securities on exchanges (Rule 10b-2(d)) | For as long as exchange is registered with the Commission plus 50 years. |
| 27- | Applications for exemption from section 13(f) | 10 years. |
| 28- | Reports by institutional investment managers of information with respect to accounts over which they exercise discretion. (Form 13F) | 4 years. |
| 80- | Annual and supplemental reports of Municipal Securities Rulemaking Board (Rule 17a-21) | Indefinitely (contingent). |
| 81- | Exemptions from registration under section 12(g) | 10 years. |
| 82- | Exemptions - American depositary receipts | 10 years. |
| 83-1 | Periodic reports and related correspondence by the Inter-American Development Bank | 3 years. |
| 83-2 | Periodic reports by the Asian Development Bank | 3 years. |
| 84- | Application for registration as a transfer agent (non-bank) and amendments thereto | For as long as transfer agent is registered with the Commission plus 50 years. |
| 85- | Application for registration as a transfer agent (bank) and amendments thereto (Form TA-1) | For as long as transfer agent is registered with the Commission plus 50 years. |
| 86- | Application for registration as a municipal securities dealer which is a bank or separately identifiable department or division of a bank (Form MSD) | For as long as municipal securities dealer is registered with the Commission plus 50 years. |
| 87- | Application for registration as a securities information processor and amendments thereto (Form SIP) | For as long as securities information processor is registered with the Commission plus 50 years. |
| 88- | Application for exemption as a securities information processor correspondence | For as long as securities information processor is registered with the Commission plus 50 years. |
| 89- | Waiver for foreign issuers furnished by American depositary receipts; waiver of information furnished by American depositary receipts regarding foreign issuers for Form F-6; waiver of Rule 12g3-2(b) reporting requirements, annual reports to shareholders, F-6 waiver, proxy | 10 years. |
| 89- | Other waivers for foreign issuers furnished by American depositary receipts. | 3 years. |
| 128-8 | Reports of disciplinary actions by stock exchanges (Rule 19d-1) | 6 years. |
| 205-3c | Reports of disciplinary actions by NASD (Rule 19d-1) | 6 years. |
| 500- | Suspension of trading of securities other than on a national securities exchange | 10 years. |
| 600- | Applications for registration as a (non-bank) clearing agency; amendments thereto | For as long as clearing agency is registered with the Commission plus 50 years. |
| 600-9 | Reports of disciplinary actions by clearing agencies (Rule 19d-1) | 6 years. |
| 601- | Applications for exemption from registration as a (non-bank) clearing agency | For as long as clearing agency has reporting requirements with the Commission plus 20 years. |
| SR | Proposed rule changes and notice as to stated policies and interpretations by self-regulatory organizations | For as long as self-regulatory organization is registered with the Commission plus 6 years. |
| XX | Reports for missing, lost or counterfeit securities (Form X-17F-1A) | Indefinitely. |
| Trust Indenture Act of 1939 | ||
| 22- | Statements of eligibility and qualification of corporations or individuals as trustees under qualified indenture under which debt security has been or is to be issued and exemptions thereto | Until indenture is terminated or cancelled plus 30 years. |
| 25- | Applications relative to affiliations between trustees and underwriters (Rule 10b-3) | Until applicable indenture is terminated or cancelled plus 33 years. |
| 93- | Reports of indenture trustee to indenture security holders with respect to eligibility and qualification under Section 310 | 1 year. |
| Investment Advisers Act of 1940 | ||
| 801- | Application for registration as investment adviser and related correspondence | For as long as investment adviser is registered with the Commission plus 9 years. |
| 803- | Application for exemption from registered and other relief | For as long as investment adviser conducts business under an exemption plus 6 years. |
| Investment Company Act of 1940 | ||
| 90- | Notice of sales of securities by closed-end issuers (issuers with 100 or less beneficial owners) other than investment companies, registered or required to be registered | 6 years. |
| 811- | Notifications and registration statements | For as long as registrant is registered with the Commission plus 30 years. |
| 811- | Periodic reports (annual, quarterly, semi-annual, proxy material) | 10 years. |
| 812- | Applications for exemption and other relief | 10 years. |
| 812- | Application by foreign management investment companies for order permitting registration | For as long as registrant has reporting requirement with the Commission plus 33 years. |
| 813- | Applications for exemption of an employee's security company (Section (b)) | For as long as registrant has reporting requirement with the Commission plus 33 years. |
| 814- | Notice of intent to elect to be subject to sections 55 and 65 | 2 years from filing date. |
| 814- | Notification of withdrawal of election to be subject to sections 55 through 65 | 2 years from filing date. |
| 814- | Notification of election to be subject to sections 55 through 65 | 30 years or for as long as a class of the issuer's equity securities is registered under the Securities Exchange Act of 1934 plus 10 years, whichever comes first. |
| 816- | Request for advisory report re reorganization of registered investment company (17 CFR 270.02), and related correspondence | 6 years. |
| 817- | Report of repurchase of securities by closed-end investment company | 6 years. |
| 818- | Sales literature regarding securities of certain investment companies | 6 years. |
| 819- | Statement of the Federal Savings and Loan Corporation relating to the exemption of certain issuers | 6 years. |
| 820- | Reports showing that companies have complied with requirements of the rule in purchasing new issues of securities from underwriters | 6 years. |
| 821- | Reports by registered small business investment companies and affiliated banks, with respect to investments | 10 years from date of such action(s). |
| Miscellaneous Files and Reports | ||
| 3- | Disciplinary proceedings (broker-dealer and investment adviser) | 25 years. |
| 3- | Administrative proceeding stop orders | For as long as registrant has reporting requirement with the Commission plus 30 years. |
| 4- | 102(e) proceedings (previously 2(e) proceedings) (chaned to 3-) | 25 years. |
| 4- | Miscellaneous studies, general conferences, roundtable, etc., authorized by the Commission | 25 years. |
| 111- | Federal government agencies miscellaneous correspondence | 30 years. |
| 119- | Securities violation files (information regarding persons against whom actions were reported on charges of violating state or federal laws in the purchase and sale of securities | Until date of last reported action plus 10 years. |
| 122-2 | Members of Congress (inquiries relating to various subjects) | 1 year after expiration of term in office. |
| 122-3 | Correspondence and other materials between the various Senate Committees and the Commission | 30 years. |
| 122-4 | Correspondence and other materials between the various House Committees and the Commission | 30 years. |
| 122-6 | Correspondence and other materials between Congressional Commissions and Joint Committees and the Commission | 30 years. |
| 123-13 | Correspondence relating to the development of a Canadian Extradition Treaty | 30 years. |
| 124- | Stock exchanges (General Correspondence) | For as long as exchange is registered with the Commission. |
| 124-1 | Legislation and Laws: Drafts and comments concerning suggested amendments to the various Acts administered by the Commission | 30 years. |
| 124-6 | ||
| 124-11 | ||
| 124-20 | ||
| 124-7, 124-7a | Subject files - Drafts, comments and correspondence concerning proposed legislation submitted by the Senate and the House to the Commission for comment | 30 years. |
| 124-7b | Drafts of bills not yet reported in Congress that are submitted to the Commission for comment | 30 years. |
| 132-3 | General Correspondence - Active companies. Inquiries and complaints concerning companies registered under the various Acts administered by the Commission | 10 years. |
| 132-3 | General Correspondence - Inactive companies (no longer required to file reports with the Commission). Inquiries and complaints concerning companies registered under the various Acts administered by the Commission | 6 years. |
| 132-3 | General Correspondence - Miscellaneous. Requests for interpretation of rules and regulations under the Acts administered by the Commission | 6 years. |
| 140- | Drafts, internal memoranda, correspondence concerning rules and regulations under each of the Acts administered by the Commission | 30 years. |
| 206-, 207- to 215-, 917- | Reorganization proceedings under Chapters IX, X, XI of the Bankruptcy Act in which the Commission participates | 30 years. |
| 265- | Advisory Committees established by the Commission (correspondence, questionnaires, reports) | 30 years. |
| Confidential treatment materials | Periodic reports and other materials containing contracts, commercial and financial information, disclosure of which would impair the value thereof, submitted under confidential cover | 10 years. |
| CHR | SEC Chairman's Subject Case Files | 20 years. |
| CHR | SEC Chairman's Chronological Files for Period 1972 to Present | Chairman's tenure in office plus 3 years. |
| CHR | SEC Chairman's General Subject File | Chairman's tenure in office plus 3 years. |
| COMM | SEC Commissioners' Files (excluding Chairman), 1934 to Present | Commissioner's tenure in office plus 1 year. |
| ENF | Investigative Case Files - Closed | Until closed plus 25 years. |
| ENF | Investigative Case Files - Inactive | Until inactive plus 25 years. |
| LIT | Litigation files: | |
| 1. Briefs | 25 years. | |
| 2. File contents other than briefs | 10 years. | |
| S7 | Issuance, amendment or rescission of rules under the various Acts - public comments and views, transcript of hearings, correspondence | 30 years (permanent). |
| XX | Reports of internal inquiries: | |
| 1. Supporting documentation | Until date of final action plus 5 years, if no report is issued, or until date of final report plus 5 years. | |
| 2. Final reports | 5 years. |
[60 FR 50091, Sept. 28, 1995, as amended at 76 FR 71874, Nov. 21, 2011]