Page:United States Statutes at Large Volume 124.djvu/1404

This page needs to be proofread.

124 STAT. 1378 PUBLIC LAW 111–203—JULY 21, 2010 Sec. 327. Implementation plan and reports. Subtitle C—Federal Deposit Insurance Corporation Sec. 331. Deposit insurance reforms. Sec. 332. Elimination of procyclical assessments. Sec. 333. Enhanced access to information for deposit insurance purposes. Sec. 334. Transition reserve ratio requirements to reflect new assessment base. Sec. 335. Permanent increase in deposit and share insurance. Sec. 336. Management of the Federal Deposit Insurance Corporation. Subtitle D—Other Matters Sec. 341. Branching. Sec. 342. Office of Minority and Women Inclusion. Sec. 343. Insurance of transaction accounts. Subtitle E—Technical and Conforming Amendments Sec. 351. Effective date. Sec. 352. Balanced Budget and Emergency Deficit Control Act of 1985. Sec. 353. Bank Enterprise Act of 1991. Sec. 354. Bank Holding Company Act of 1956. Sec. 355. Bank Holding Company Act Amendments of 1970. Sec. 356. Bank Protection Act of 1968. Sec. 357. Bank Service Company Act. Sec. 358. Community Reinvestment Act of 1977. Sec. 359. Crime Control Act of 1990. Sec. 360. Depository Institution Management Interlocks Act. Sec. 361. Emergency Homeowners’ Relief Act. Sec. 362. Federal Credit Union Act. Sec. 363. Federal Deposit Insurance Act. Sec. 364. Federal Home Loan Bank Act. Sec. 365. Federal Housing Enterprises Financial Safety and Soundness Act of 1992. Sec. 366. Federal Reserve Act. Sec. 367. Financial Institutions Reform, Recovery, and Enforcement Act of 1989. Sec. 368. Flood Disaster Protection Act of 1973. Sec. 369. Home Owners’ Loan Act. Sec. 370. Housing Act of 1948. Sec. 371. Housing and Community Development Act of 1992. Sec. 372. Housing and Urban-Rural Recovery Act of 1983. Sec. 373. National Housing Act. Sec. 374. Neighborhood Reinvestment Corporation Act. Sec. 375. Public Law 93–100. Sec. 376. Securities Exchange Act of 1934. Sec. 377. Title 18, United States Code. Sec. 378. Title 31, United States Code. TITLE IV—REGULATION OF ADVISERS TO HEDGE FUNDS AND OTHERS Sec. 401. Short title. Sec. 402. Definitions. Sec. 403. Elimination of private adviser exemption; limited exemption for foreign private advisers; limited intrastate exemption. Sec. 404. Collection of systemic risk data; reports; examinations; disclosures. Sec. 405. Disclosure provision amendment. Sec. 406. Clarification of rulemaking authority. Sec. 407. Exemption of venture capital fund advisers. Sec. 408. Exemption of and record keeping by private equity fund advisers. Sec. 409. Family offices. Sec. 410. State and Federal responsibilities; asset threshold for Federal registration of investment advisers. Sec. 411. Custody of client assets. Sec. 412. Adjusting the accredited investor standard. Sec. 413. GAO study and report on accredited investors. Sec. 414. GAO study on self-regulatory organization for private funds. Sec. 415. Commission study and report on short selling. Sec. 416. Transition period. TITLE V—INSURANCE Subtitle A—Office of National Insurance Sec. 501. Short title. Sec. 502. Federal Insurance Office. Subtitle B—State-Based Insurance Reform Sec. 511. Short title.