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Definitions of ``Small Business'' or ``Small Organization'' Under the Investment Company Act of 1940, the Investment Advisers Act of 1940, the Securities Exchange Act of 1934, and the Securities Act of 1933

SEC · final-rule · Published 1998-06-30 · Effective 1998-07-30 · 63 FR 35508

Document

Document number
98-17387
Federal Register citation
63 FR 35508
CFR reference
17 CFR 230
Type
Rule
Action
Final rules.
Category
final-rule
Agency
US Securities and Exchange Commission
Publication date
1998-06-30
Effective date
1998-07-30
Docket
Release Nos. 33-7548, 34-40122, IC-23272, and IA-1727

Abstract

The Securities and Exchange Commission is amending the definitions of ``small business'' and ``small organization'' that are used in connection with Commission rulemaking under the Investment Company Act of 1940, the Investment Advisers Act of 1940, the Securities Exchange Act of 1934, and the Securities Act of 1933 regarding regulatory requirements applicable to investment companies, investment advisers, exchanges, securities information processors, transfer agents and issuers, and broker-dealers. These definitions are used specifically for purposes of the Regulatory Flexibility Act, which requires the Commission to consider the impact of its regulations on small entities. The amendments to these definitions reflect recent changes in the law as well as changes in the securities markets over the past decade, including technological innovations and increased business relationships among participants in the securities industry.

Source

Authoritative
Federal Register document
Machine
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