This index of the SEC’s rulemaking activity can be filtered by year, status (proposed or final), or division/office that recommended the rulemaking to the Commission.
Twice a year under the Regulatory Flexibility Act, the SEC is required to publish an agenda identifying rules that the agency estimates it may consider in the next 12 months. View the latest SEC RegFlex agenda.
Issue Date | File Number | Rulemaking | Status |
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S7-7-99 | Financial Statements and Periodic Reports for Related Issuers and Guarantors | View Related Activity | |
S7-31-99 | Selective Disclosure and Insider Trading | View Related Activity | |
S7-14-00 | Exemption From Section 101(c)(1) of the Electronic Signatures in Global and National Commerce Act for Registered Investment Companies | ||
S7-6-00 | Privacy of Consumer Financial Information (Regulation S-P) | View Related Activity | |
Adoption of Updated EDGAR Filer Manual
EDGAR Business Office |
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S7-10-99 | Offer and Sale of Securities to Canadian Tax-Deferred Retirement Savings Accounts | View Related Activity | |
S7-11-99 | Revised Transfer Agent Form and Related Rule | View Related Activity | |
Adoption of Updated EDGAR Filer Manual
EDGAR Business Office |
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S7-15-99 | Custody of Investment Company Assets Outside the United States | ||
S7-05-00 | Rulemaking for EDGAR System | View Related Activity | |
S7-12-98 | Regulation of Alternative Trading Systems; Suspension (Extension of Effective date to December 1, 2000) | ||
Adoption of Updated EDGAR Filer Manual
EDGAR Business Office |
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S7-22-99 | Audit Committee Disclosure | View Related Activity | |
4-208 | Adoption of Amendments to the Intermarket Trading System Plan To Expand the ITS/Computer Assisted Execution System Linkage to All Listed Securities | ||
S7-22-98 | Temporary Exemption for Certain Investment Advisers | View Related Activity | |
S7-27-97 | Delivery of Disclosure Documents to Households | View Related Activity | |
S7-29-98 | Cross-Border Tender and Exchange Offers, Business Combinations and Rights Offerings | ||
S7-28-98 | Regulation of Takeovers and Security Holder Communications | View Related Activity | |
Effective | Adoption of Updated EDGAR Filer Manual
EDGAR Business Office |
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S7-3-99 | International Disclosure Standards | View Related Activity | |
S7-27-98 | Purchases of Certain Equity Securities by the Issuer and Others | ||
S7-25-95 | Personal Investment Activities of Investment Company Personnel | ||
S7-8-99 | Year 2000 Operational Capability Requirements for Registered Broker-Dealers and Transfer Agents | ||
S7-16-99 | Broker-Dealer Registration and Reporting | ||
Delegation of Authority to Cancel Registration of Certain Investment Advisers | |||
S7-4-99 | Exemption of the Securities of the Kingdom of Sweden Under the Securities Exchange Act of 1934 for Purposes of Trading Futures Contracts on Those Securities | ||
Adoption of Updated EDGAR Filer Manual
EDGAR Business Office |
|||
S7-9-99 | Rulemaking for EDGAR System | ||
S7-17-96 | Broker-Dealer Registration and Reporting | ||
S7-23-95 | Custody of Investment Company Assets Outside the United States; Extension of Compliance Date | ||
S7-12-98 | Regulation of Alternative Trading Systems; Technical Amendment | ||
S7-31-98 | Deregistration of Certain Registered Investment Companies | View Related Activity | |
S7-2-99 | Transition Rule for Ohio Investment Advisers | View Related Activity | |
S7-12-98 | Regulation of Exchanges and Alternative Trading Systems. Correction; | ||
S7-15-98 | Exemption of the Securities of the Kingdom of Belgium Under the Securities Exchange Act of 1934 for Purposes of Trading Futures Contracts on Those Securities | View Related Activity | |
Revision of Rule 504 of Regulation D, the "Seed Capital' Exemption | View Related Activity | ||
S7-2-98 | Registration of Securities on Form S-8 | ||
S7-5-98 | Rule 701Exempt Offerings Pursuant to Compensatory Arrangements | View Related Activity | |
S7-23-95 | Custody of Investment Company Assets Outside the United States |
Last Reviewed or Updated: Sept. 13, 2024