17 CFR Part 205
PART 205—STANDARDS OF PROFESSIONAL CONDUCT FOR ATTORNEYS APPEARING AND PRACTICING BEFORE THE COMMISSION IN THE REPRESENTATION OF AN ISSUER
- PART 205—STANDARDS OF PROFESSIONAL CONDUCT FOR ATTORNEYS APPEARING AND PRACTICING BEFORE THE COMMISSION IN THE REPRESENTATION OF AN ISSUER
- Chapter II—Securities and Exchange Commission
- § 205.1 Purpose and scope.
- § 205.2 Definitions.
- § 205.3 Issuer as client.
- § 205.4 Responsibilities of supervisory attorneys.
- § 205.5 Responsibilities of a subordinate attorney.
- § 205.6 Sanctions and discipline.
- § 205.7 No private right of action.