(a) Authority. Subpart C of Regulation H (12 CFR 208, subpart C)
is issued by the Board of Governors of the Federal Reserve System
under 12 USC 24, 92a, 93a; sections 1818 and 1831p-1(a)(2) of the
FDI Act (12 USC 1818, 1831p-1(a)(2)); and sections 78b, 78l(b), 78l(g),
78l(i), 78o-4(c)(5), 78o-5, 78q, 78q-1, and 78w of the Securities
Exchange Act of 1934 (15 USC 78b, 78l(b), 78l(g), 78l(i), 78o-4(c)(5), 78o-5,
78q, 78q-1, 78w).
(b) Purpose and scope. This subpart C describes the requirements
imposed upon member banks acting as transfer agents, registered clearing
agencies, or sellers of securities under the Securities Exchange Act
of 1934. This subpart C also describes the reporting requirements
imposed on member banks whose securities are subject to registration
under the Securities Exchange Act of 1934.