Part 19. PART 19—RULES OF PRACTICE AND PROCEDURE
- SUBPART A [§ 19.1 - § 19.41] - Subpart A—Uniform Rules of Practice and Procedure
- SUBPART B [§ 19.100 - § 19.101] - Subpart B—Procedural Rules for OCC Adjudications
- SUBPART C [§ 19.110 - § 19.113] - Subpart C—Removals, Suspensions, and Prohibitions When a Crime Is Charged or a Conviction is Obtained
- SUBPART D [§ 19.120 - § 19.124] - Subpart D—Exemption Hearings Under Section 12(h) of the Securities Exchange Act of 1934
- SUBPART E [§ 19.130 - § 19.135] - Subpart E—Disciplinary Proceedings Involving the Federal Securities Laws
- SUBPART F [§ 19.140 - § 19.140] - Subpart F—Civil Money Penalty Authority Under the Securities Laws
- SUBPART G [§ 19.150 - § 19.150] - Subpart G—Cease-and-Desist Authority Under the Securities Laws
- SUBPART H [§ 19.160 - § 19.161] - Subpart H—Change in Bank Control
- SUBPART I [§ 19.170 - § 19.171] - Subpart I—Discovery Depositions and Subpoenas
- SUBPART J [§ 19.180 - § 19.184] - Subpart J—Formal Investigations
- SUBPART K [§ 19.190 - § 19.201] - Subpart K—Parties and Representational Practice Before the OCC; Standards of Conduct
- SUBPART L [§ 19.210 - § 19.210] - Subpart L—Equal Access to Justice Act
- SUBPART M [§ 19.220 - § 19.222] - Subpart M—Procedures for Reclassifying a Bank Based on Criteria Other Than Capital
- SUBPART N [§ 19.230 - § 19.231] - Subpart N—Order To Dismiss a Director or Senior Executive Officer
- SUBPART O [§ 19.240 - § 19.240] - Subpart O—Civil Money Penalty Adjustments
- SUBPART P [§ 19.241 - § 19.246] - Subpart P—Removal, Suspension, and Debarment of Accountants From Performing Audit Services