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LegalText 22 U.S.C. § 283h Securities issued by Bank; reports to and of Securities and Exchange Commission us united_states_code code_section 22 FOREIGN RELATIONS AND INTERCOURSE 7 INTERNATIONAL BUREAUS, CONGRESSES, ETC. 283h 22 U.S.C. § 283h current 119-100 2026-06-26 official https://uscode.house.gov/download/releasepoints/us/pl/119/100/xml_usc22@119-100.zip /us/usc/t22/s283h data/legal/raw/us/code/title-22/usc22.xml e8c343e8300b3f31824f9e13091043953fca9e6eaab9243c01e7ee1bd19417b0 b9c63ede722f5e0bf8eabfe9029e06e312ab9bcfd95c4d1424ed515baff1df83 d046f4b4b62a430fc973c10a409c04c909075eaba089c23d683de75f5abadee3 2026-07-04 official
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22 U.S.C. § 283h - Securities issued by Bank; reports to and of Securities and Exchange Commission

Text

(a) Exempt securities; reports of Bank to Commission Any securities issued by the Bank (including any guarantee by the Bank, whether or not limited in scope) in connection with raising of funds for including in the Banks capital resources as defined in article II, section 5, and article IIA, section 4, of the agreement, and any securities guaranteed by the Bank as to both principal and interest to which the commitment in article II, section 4(a)(ii), or article IIA, section 3(c), of the agreement is expressly applicable, shall be deemed to be exempted securities within the meaning of subsection (a)(2) of section 77c of title 15 and subsection (a)(12) of section 78c of title 15. The Bank shall file with the Securities and Exchange Commission such annual and other reports with regard to such securities as the Commission shall determine to be appropriate in view of the special character of the Bank and its operations and necessary in the Public interest or for the protection of investors.

(b) Suspension of exemption provisions; annual reports of Commission to Congress The Securities and Exchange Commission, acting in consultation with the National Advisory Council on International Monetary and Financial Problems, is authorized to suspend the provisions of subsection (a) at any time as to any or all securities issued or guaranteed by the Bank during the period of such suspension. The Commission shall include in its annual reports to Congress such information as it shall deem advisable with regard to the operations and effect of this section and in connection therewith shall include any views submitted for such purpose by any association of dealers registered with the Commission.

(Pub. L. 86147, § 11, Aug. 7, 1959, 73 Stat. 301; Pub. L. 94302, title I, § 103(a)(3), May 31, 1976, 90 Stat. 593.)

Notes

Editorial Notes

Amendments1976—Subsec. (a). Pub. L. 94302 struck out “ordinary” after “in the Banks” and inserted “and article IIA, section 4” after “article II, section 5” and “or article IIA, section 3(c)” after “article II, section 4(a)(ii)”.

Statutory Notes and Related Subsidiaries

Effective Date of 1976 AmendmentFor effective date of amendment by Pub. L. 94302, see section 103(b) of Pub. L. 94302, set out as a note under section 283c of this title.

Executive Documents

Delegation of Functions Functions of National Advisory Council on International Monetary and Financial Problems delegated to National Advisory Council on International Monetary and Financial Policies, see section 2(a) of Ex. Ord. No. 11269, Feb. 14, 1966, 31 F.R. 2813, set out as a note under section 286b of this title.