Source: https://casetext.com/statute/united-states-code/title-7-agriculture/chapter-1-commodity-exchanges/section-6-regulation-of-futures-trading-and-foreign-transactions
Timestamp: 2019-10-15 01:38:44
Document Index: 393409754

Matched Legal Cases: ['§ 6', '§4', '§2', '§103', '§204', '§502', '§1', '§123', '§721', '§721', '§1', '§123', '§80', '§80', '§78', '§738', '§738', '§738', '§721', '§722', '§738', '§1', '§123', '§1', '§123', '§1', '§123', '§1', '§123', '§1', '§123', '§502', '§502', '§2', '§4']

Section 6 - Regulation of futures trading and foreign transactions, 7 U.S.C. § 6 | Casetext
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(I) paragraphs (2), (3), (4), (5), and (7), paragraph (18)(A)(vii)(III), paragraphs (23), (24), (31), (32), (38), (39), (41), (42), (46), (47), (48), and (49) of section 1a of this title, and sections 2(a)(13), 2(c)(1)(D), 6a(a), 6a(b), 6d(c), 6d(d), 6r, 6s, 7a-1(a), 7a-1(b), 7(d), 7(g), 7(h),3 7a-1(c), 7a-1(i), 12(e),4 and 24a of this title; and
(II) section 206(e) 5 of the Gramm-Leach-Bliley Act (Public Law 106-102; 15 U.S.C. 78c note); and
(D) An investment company subject to regulation under the Investment Company Act of 1940 ( 15 U.S.C. 80a-1 et seq.).
(G) An employee benefit plan with assets exceeding $1,000,000, or whose investment decisions are made by a bank, trust company, insurance company, investment adviser registered under the Investment Advisers Act of 1940 [ 15 U.S.C. 80b-1 et seq.], or a commodity trading advisor subject to regulation under this chapter.
(I) A broker-dealer subject to regulation under the Securities Exchange Act of 1934 ( 15 U.S.C. 78a et seq.) acting on its own behalf or on behalf of another appropriate person.
Sept. 21, 1922, ch. 369, §4, 42 Stat. 999; June 15, 1936, ch. 545, §§2, 4, 49 Stat. 1491, 1492; Pub. L. 93-463, title I, §103(a), (f), Oct. 23, 1974, 88 Stat. 1392; Pub. L. 97-444, title II, §204, Jan. 11, 1983, 96 Stat. 2299; Pub. L. 102-546, title V, §502(a), Oct. 28, 1992, 106 Stat. 3629; Pub. L. 106-554, §1(a)(5) [title I, §123(a)(3)], Dec. 21, 2000, 114 Stat. 2763, 2763A-406; Pub. L. 111-203, title VII, §§721(d), 722(f), 738(a), (b), July 21, 2010, 124 Stat. 1671, 1674, 1726, 1728.
REFERENCES IN TEXTSubtitle A of the Wall Street Transparency and Accountability Act of 2010, referred to in subsec. (c)(1)(A), is subtitle A (§§721-754) of title VII of Pub. L. 111-203, July 21, 2010, 124 Stat. 1641. For complete classification of subtitle A to the Code, see Tables.Section 12(e) of this title, referred to in subsec. (c)(1)(A)(i)(I), was in the original a reference to section "8e" and has been translated as if the reference had been to section "8(e)" to reflect the probable intent of Congress. Section 8e of act Sept. 21, 1922, which was formerly classified to section 12e of this title, was repealed by Pub. L. 106-554, §1(a)(5) [title I, §123(a)(21)], Dec. 21, 2000, 114 Stat. 2763, 2763A-410.The Dodd-Frank Wall Street Reform and Consumer Protection Act, referred to in subsec. (c)(1)(A)(ii), is Pub. L. 111-203, July 21, 2010, 124 Stat. 1376. Section 721(c) of the Act is classified to section 8321(b) of Title 15, Commerce and Trade. Section 742 of the Act amended section 2 of this title and provisions set out as a note under section 78c of Title 15. For complete classification of this Act to the Code, see Short Title note set out under section 5301 of Title 12, Banks and Banking, and Tables.The Investment Company Act of 1940, referred to in subsec. (c)(3)(D), is title I of act Aug. 22, 1940, ch. 686, 54 Stat. 789, as amended, which is classified generally to subchapter I (§80a-1 et seq.) of chapter 2D of Title 15, Commerce and Trade. For complete classification of this Act to the Code, see section 80a-51 of Title 15 and Tables. The Investment Advisers Act of 1940, referred to in subsec. (c)(3)(G), is title II of act Aug. 22, 1940, ch. 686, 54 Stat. 847, as amended, which is classified generally to subchapter II (§80b-1 et seq.) of chapter 2D of Title 15. For complete classification of this Act to the Code, see section 80b-20 of Title 15 and Tables.The Securities Exchange Act of 1934, referred to in subsec. (c)(3)(I), is act June 6, 1934, ch. 404, 48 Stat. 881, as amended, which is classified principally to chapter 2B (§78a et seq.) of Title 15. For complete classification of this Act to the Code, see section 78a of Title 15 and Tables.
AMENDMENTS 2010-Subsec. (a). Pub. L. 111-203, §738(b)(1), inserted "or by subsection (e)" after "Unless exempted by the Commission pursuant to subsection (c)" in introductory provisions.Subsec. (b). Pub. L. 111-203, §738(a)(1)-(3), designated existing provisions as par. (2), designated the first to third sentences as subpars. (A) to (C), respectively, redesignated former pars. (1) and (2) as cls. (i) and (ii), respectively, of subpar. (C), inserted headings, in subpar. (B), substituted "Rules and regulations described in subparagraph (A)" for "Such rules and regulations", in the introductory provisions of subpar. (C), substituted "Except as provided in paragraphs (1) and (2), no rule or regulation" for "No rule or regulation" and "that-" for "that", and, in subpar. (C)(i), substituted "market; or" for "market, or".Subsec. (b)(1). Pub. L. 111-203, §738(a)(4), added par. (1).Subsec. (c)(1). Pub. L. 111-203, §721(d), substituted "except that-" for "except that the Commission and the Securities and Exchange Commission may by rule, regulation, or order jointly exclude any agreement, contract, or transaction from section 2(a)(1)(D) of this title), if the Commission determines that the exemption would be consistent with the public interest." and added subpars. (A) and (B).Subsec. (c)(6). Pub. L. 111-203, §722(f), added par. (6). Subsec. (e). Pub. L. 111-203, §738(b)(2), added subsec. (e).2000-Subsec. (a)(1). Pub. L. 106-554, §1(a)(5) [title I, §123(a)(3)(A)(i)], substituted "designated or registered by the Commission as a contract market or derivatives transaction execution facility for" for "designated by the Commission as a 'contract market' for".Subsec. (a)(2). Pub. L. 106-554, §1(a)(5) [title I, §123(a)(3)(A)(ii)], struck out "member of such" after "by or through a".Subsec. (a)(3). Pub. L. 106-554, §1(a)(5) [title I, §123(a)(3)(A)(iii)], inserted "or derivatives transaction execution facility" after "contract market".Subsec. (c)(1). Pub. L. 106-554, §1(a)(5) [title I, §123(a)(3)(B)(i)], substituted "designated or registered as a contract market or derivatives transaction execution facility" for "designated as a contract market" and "subparagraphs (C)(ii) and (D) of section 2(a)(1) of this title, except that the Commission and the Securities and Exchange Commission may by rule, regulation, or order jointly exclude any agreement, contract, or transaction from section 2(a)(1)(D) of this title" for "section 2a of this title".Subsec. (c)(2)(B)(ii). Pub. L. 106-554, §1(a)(5) [title I, §123(a)(3)(B)(ii)], inserted "or derivatives transaction execution facility" after "contract market".1992-Subsec. (a). Pub. L. 102-546, §502(a)(1), substituted "Unless exempted by the Commission pursuant to subsection (c) of this section, it shall be unlawful" for "It shall be unlawful".Subsecs. (c), (d). Pub. L. 102-546, §502(a)(2), added subsecs. (c) and (d). 1983-Pub. L. 97-444 amended section generally, combining into subsec. (a) existing provisions of this section together with provisions formerly contained in section 6h(1) of this title, relating to the conduct of offices or places of business anywhere in the United States or its territories that are used for dealing in commodities for future delivery unless such dealings are executed or consummated by or through a member of a contract market, and adding subsec. (b).1974-Pub. L. 93-463 substituted "Commission" for "Secretary of Agriculture" and "United States Department of Agriculture".1936-Act June 15, 1936, §2, substituted "commodity" for "grain" wherever appearing.Act June 15, 1936, §4, struck out par. (a) and combined par. (b) with first par.
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