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Code of Federal Regulations
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Title 17
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Chapter II — Securities and Exchange Commission
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Part 205 — Standards of Professional Conduct for Attorneys Appearing and Practicing Before the Commission in the Representation of an Issuer
‹
Pt. 204
Rules Relating to Debt Collection
Pt. 209
Forms Prescribed under the Commission's Rules of Practice
›
Part 205 — Standards of Professional Conduct for Attorneys Appearing and Practicing Before the Commission in the Representation of an Issuer
Search Part 205 full text →
§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.
‹
Pt. 204
Rules Relating to Debt Collection
Pt. 209
Forms Prescribed under the Commission's Rules of Practice
›
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