Part 9 — Fiduciary Activities of National Banks
- § 9.1— Authority, purpose, and scope.
- § 9.2— Definitions.
- § 9.3— Approval requirements.
- § 9.4— Administration of fiduciary powers.
- § 9.5— Policies and procedures.
- § 9.6— Review of fiduciary accounts.
- § 9.7— Multi-state fiduciary operations.
- § 9.8— Recordkeeping.
- § 9.9— Audit of fiduciary activities.
- § 9.10— Fiduciary funds awaiting investment or distribution.
- § 9.11— Investment of fiduciary funds.
- § 9.12— Self-dealing and conflicts of interest.
- § 9.13— Custody of fiduciary assets.
- § 9.14— Deposit of securities with state authorities.
- § 9.15— Fiduciary compensation.
- § 9.16— Receivership or voluntary liquidation of bank.
- § 9.17— Surrender or revocation of fiduciary powers.
- § 9.18— Collective investment funds.
- § 9.20— Transfer agents.
- § 9.100— Acting as indenture trustee and creditor.
- § 9.101— Providing investment advice for a fee.