Basis Reporting by Securities Brokers and Basis Determination for Stock
---
identifier: "/us/fr/C1-2009-29855"
source: "fr"
legal_status: "authoritative_unofficial"
title: "Basis Reporting by Securities Brokers and Basis Determination for Stock"
title_number: 0
title_name: "Federal Register"
section_number: "C1-2009-29855"
section_name: "Basis Reporting by Securities Brokers and Basis Determination for Stock"
positive_law: false
currency: "2010-02-08"
last_updated: "2010-02-08"
format_version: "1.1.0"
generator: "[email protected]"
agency: "Treasury Department"
document_number: "C1-2009-29855"
document_type: "proposed_rule"
publication_date: "2010-02-08"
agencies:
- "Treasury Department"
- "Internal Revenue Service"
cfr_references:
- "26 CFR Parts, 1, 31, and 301"
rin: "1545-BL66"
fr_citation: "75 FR 6166"
fr_volume: 75
docket_ids:
- "REG-101896-09"
---
# [Corrected]
**Correction**
In proposed rule document E9-29855 beginning on page 67010 in the issue of Thursday, December 17, 2009, make the following corrections:
1. On page 67020, in the second column, under heading 13., in the second line, “exempt”, should read “except”.
§1.6045B-1
2. On page 67041, in §1.6045B-1(f)Example 1(iii), in the fifth line, “sites” should read “site”.