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COMPLIANCE RULES
Table of Contents
Part 1-Definitions
[¶ 5011] Rule 1-1. Definitions
[¶ 5011.1] (a) Act
[¶ 5011.2] (b) Actual Funds
[¶ 5011.3] (c) Appeals Committee
[¶ 5011.4] (d) Associate
[¶ 5011.5] (e) Business Conduct Committee
[¶ 5011.6] (f) Commission
[¶ 5011.7] (g) Commodity Pool Operator or CPO
[¶ 5011.8] (h) Commodity Trading Advisor or CTA
[¶ 5011.9] (i) Contract Market
[¶ 5011.10] (j) Exchange Act
[¶ 5011.11] (k) Foreign Board of Trade
[¶ 5011.12] (l) Foreign Futures and Foreign Options
[¶ 5011.13] (m) Foreign Futures or Foreign Options Customer
[¶ 5011.14] (n) Forex
[¶ 5011.15] (o) Forex Dealer Member
[¶ 5011.16] (p) Futures
[¶ 5011.17] (q) Futures Commission Merchant or FCM
[¶ 5011.18] (r) Hearing Committee
[¶ 5011.19] (s) Introducing Broker or IB
[¶ 5011.20] (t) Leverage Transaction Merchant or LTM
[¶ 5011.21] (u) Member
[¶ 5011.22] (v) Nominal Account Size
[¶ 5011.23] (w) Partially-Funded Account
[¶ 5011.24] (x) Person
[¶ 5011.25] (y) Qualified Eligible Person or QEP
[¶ 5011.26] (z) Requirements
[¶ 5011.27] (aa) Security Futures Products
Part 2-Rules Governing the Business Conduct of Members Registered with the Commission
Part 3-Compliance Procedures
Part 4 - Procedures Governing Access to and Certification of CFTC Records, Other than Registration Records, Maintained by NFA
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