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Spotlight on
Anti-Money Laundering Rulemaking
- Market Regulation No-Action Letter: Securities Industry Association, (February 12, 2004)
- Question and Answer Regarding the Broker-Dealer Customer Identification Program Rule (October 1, 2003)
- Questions and Answers Regarding the Mutual Fund Customer Identification Program Rule (August 11, 2003)
- Report to Congress under the USA PATRIOT Act containing recommendations for applying anti-money laundering controls to investment companies (Joint Report of the SEC, U.S. Treasury and the Board of Governors of the Federal Reserve System, December 31, 2002)
- SEC-SIA Anti-Money Laundering Webcast Scheduled for Monday, November 25, 2002 (announcement, October 18, 2002)
- Proposed Amendment to the Bank Secrecy Act Rules Requirement That Insurance Companies Report Suspicious Transactions (in PDF format; U.S. Treasury Rulemaking, October 17, 2002).
- Proposed Amendment to the Bank Secrecy Act Rules Anti-Money Laundering Programs for Unregistered Investment Companies (in PDF format; U.S. Treasury rulemaking, September 26, 2002)
- Proposed Amendment to the Bank Secrecy Act Rules Customer Identification Programs for Mutual Funds (Joint SEC and U.S. Treasury rulemaking, July 23, 2002)
- Proposed Amendment to the Bank Secrecy Act Rules Customer Identification Programs for Broker-Dealers (Joint SEC and U.S. Treasury rulemaking, July 23, 2002)
- Amendment to the Bank Secrecy Act Rules Requirement that Brokers or Dealers in Securities Report Suspicious Transactions (in PDF format; U.S. Treasury Final Rule, July 1, 2002).
- Proposed Rule Due Diligence Anti-Money Laundering Programs for Certain Foreign Accounts Implementing Section 312 of the USA PATRIOT ACT (in PDF format; U.S. Treasury Rulemaking, May 30, 2002)
- Anti-Money Laundering Programs for Mutual Funds (in PDF format; U.S. Treasury rulemaking, April 24, 2002)
- Order Approving Proposed Rule Changes Relating to Anti-Money Laundering Compliance Programs (NASD and NYSE Rulemaking; April 22, 2002)
- Proposed Amendment to the Bank Secrecy Act Requirement of
Brokers or Dealers in Securities to Report Suspicious Transactions (in PDF format; U.S. Treasury rulemaking, December 21, 2001)
http://www.sec.gov/spotlight/moneylaundering.htm
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