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78 SEC Docket 1 (2002-2003)

handle is hein.journals/secdoc78 and id is 1 raw text is: CCH SEC DOCKET
Volume 78, Issue No. 1
September 3, 2002
Releases in this Volume
Release No.                                                Page
Securities Act of 1933: 8112 ............................. .   5
Securities Exchange Act of 1934: 46097A ......................  16
:46191-46229        ........     16
Public Utility Holding Company Act: 27550-27551 .............  99
Trust Indenture Act of 1939: 2400 ............................ 106
Investment Advisers Act of 1940: 2044 ........................ 106
Investment Company Act of 1940: 25657-25666 ............... 124
Litigation: 17608-17622 .................................. 159
Accounting and Auditing Enforcement: 1592-1597 ............. 167
Privacy Act of 1974: 32 .................................... 167
This listing covers releases issued from 07/12/2002-07/18/2002.
This listing does not affect the legal status of any document published in
this issue.
SIGNIFICANT ITEMS
PROPOSED RULES
34-46192
S7-25-02           Customer Identification Programs for Broker-Dealers
The Department of the Treasury, through the Financial Crimes
Enforcement Network, and the Securities and Exchange
Commission jointly issued a proposed regulation to imple-
ment section 326 of the Uniting and Strengthening
America by Providing Appropriate Tools Required to In-
tercept and Obstruct Terrorism Act of 2001. Section 326
requires the Secretary of the Treasury to jointly prescribe
with the Securities and Exchange Commission a regulation
that, at a minimum, requires broker-dealers to implement
reasonable procedures to verify the identity of any person
seeking to open an account, to the extent reasonable and
practicable; maintain records of the information used to
verify the person's identity; and determine whether the
person appears on any lists of known or suspected terrorists
or terrorist organizations provided to the broker-dealer by
any government agency.
IA-2044