# Revisions to Prohibitions and Restrictions on Proprietary Trading and Certain Interests in, and Relationships With, Hedge Funds and Private Equity Funds
**AGENCY:**
Board of Governors of the Federal Reserve System (Board); Federal Deposit Insurance Corporation (FDIC); Securities and Exchange Commission (SEC); and Commodity Futures Trading Commission (CFTC), collectively, the Agencies.
**ACTION:**
Final rule; correction.
**SUMMARY:**
The Agencies published a final rule in the *Federal Register* on July 22, 2019, that adopted final rules to amend regulations implementing Section 13 of the Bank Holding Company Act (the Volcker Rule) in a manner consistent with the statutory amendments made pursuant to certain sections of the Economic Growth, Regulatory Relief, and Consumer Protection Act. This document corrects errors in amendatory instructions in the rule.
**DATES:**
Effective August 6, 2019.
**FOR FURTHER INFORMATION CONTACT:**
*Board:* Flora Ahn, Special Counsel, (202) 452-2317, Gregory Frischmann, Senior Counsel, (202) 452-2803, Kirin Walsh, Attorney, (202) 452-3058, or Sarah Podrygula, Attorney, (202) 912-4658, Legal Division, Board of Governors of the Federal Reserve System, 20th and C Streets NW, Washington, DC 20551.
*FDIC:* Michael B. Phillips, Counsel, *[email protected],* Benjamin J. Klein, Counsel, *[email protected],* or Annmarie H. Boyd, Counsel, *[email protected],* Legal Division, Federal Deposit Insurance Corporation, 550 17th Street NW, Washington, DC 20429.
*SEC:* Andrew R. Bernstein, Senior Special Counsel, Sam Litz, Attorney-Adviser, Aaron Washington, Special Counsel, Office of Derivatives Policy and Trading Practices, Division of Trading and Markets, U.S. Securities and Exchange Commission, 100 F Street NE, Washington, DC 20549.
*CFTC:* Cantrell Dumas, Special Counsel, (202) 418-5043, *[email protected];* Mark Fajfar, Assistant General Counsel, (202) 418-6636, *[email protected],* Office of the General Counsel; Commodity Futures Trading Commission, Three Lafayette Centre, 1155 21st Street NW, Washington, DC 20581.
**SUPPLEMENTARY INFORMATION:**
This document corrects errors in amendatory instructions in a final rule published on July 22, 2019, affecting 12 CFR 248.11, 12 CFR 351.11, 17 CFR 75.11, and 17 CFR 255.11 of the Agencies' regulations.
**Correction**
**12 CFR Part 248**
In final rule FR Doc. 2019-15019 published in the *Federal Register* on July 22, 2019 (84 FR 35008), beginning on page 35020, make the following corrections:
1. On page 35020, in the third column, correct amendatory instruction 11 to read as follows:
“11. Revise paragraph (a)(6) to read as follows:”
2. On page 35021, in the second column, correct amendatory instruction 16 to read as follows:
“16. Revise paragraph (a)(6) to read as follows:”
3. On page 35022, in the first column, correct amendatory instruction 21 to read as follows:
“21. Revise paragraph (a)(6) to read as follows:”
4. On page 35022, in the second column, correct amendatory instruction 26 to read as follows:
“26. Revise paragraph (a)(6) to read as follows:”
Federal Deposit Insurance Corporation.
By the Securities and Exchange Commission
Board of Governors of the Federal Reserve System, July 26, 2019.
Ann E. Misback,
Secretary of the Board.
Dated at Washington, DC, on July 23, 2019.
Valerie J. Best,
Assistant Executive Secretary.
Issued in Washington, DC, on July 23, 2019, by the Commission.
Christopher Kirkpatrick,
Secretary of the Commission.
Dated: July 23, 2019.
J. Lynn Taylor,
Assistant Secretary.