United States Code/Title 15/Chapter 2B-1
(Redirected from Securities Investor Protection Act of 1970)
Chapter 2B-1—Securities Investor Protection
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- . Short title
- This chapter may be cited as the “Securities Investor Protection Act of 1970”.
- § 78bbb. Application of Securities Exchange Act of 1934
- § 78ccc. Securities Investor Protection Corporation
- § 78ddd. SIPC Fund
- § 78eee. Protection of customers
- § 78fff. General provisions of a liquidation proceeding
- § 78fff-1. Powers and duties of a trustee
- § 78fff-2. Special provisions of a liquidation proceeding
- § 78fff-3. SIPC advances
- § 78fff-4. Direct payment procedure
- § 78ggg. SEC functions
- § 78hhh. Examining authority functions
- § 78iii. Functions of self-regulatory organizations
- § 78jjj. Prohibited acts
- § 78kkk. Miscellaneous provisions
- § 78lll. Definitions
Note
[edit]- References
- This chapter, referred to in text [§ 78aaa], was in the original “This Act” meaning the ``Securities Investor Protection Act of 1970´´, Pub. L. 91–598, Dec. 30, 1970, 84 Stat. 1636. For complete classification of this Act to the Code, see Tables.