SEC rule under the Securities Exchange Act of 1934

E464859

Regulation SCI is a U.S. Securities and Exchange Commission regulation that imposes technology, systems integrity, and cybersecurity requirements on key market participants to promote the stability and resilience of the securities markets.

All labels observed (1)

How this entity was disambiguated

Statements (43)

Predicate Object
instanceOf U.S. SEC regulation ⓘ
securities market regulation ⓘ
appliesTo certain alternative trading systems ⓘ
certain exempt clearing agencies ⓘ
entities whose systems are critical to the functioning of the securities markets ⓘ
plan processors ⓘ
self-regulatory organizations ⓘ
defines SCI event ⓘ
enforcementBy Division of Trading and Markets of the SEC ⓘ
enforcementMechanism SEC enforcement actions ⓘ
SEC examinations ⓘ
focusesOn key market participants that provide critical market infrastructure ⓘ
fullName Regulation Systems Compliance and Integrity ⓘ
goal to mitigate the impact of technology failures on fair and orderly markets ⓘ
to mitigate the impact of technology failures on investors ⓘ
includesConcept SCI systems ⓘ
jurisdiction United States ⓘ
legalBasis Securities Exchange Act of 1934 ⓘ
objective to enhance market-wide operational resilience ⓘ
to standardize minimum technology controls across key market participants ⓘ
obligation to maintain systems capacity reasonably designed to handle market stress ⓘ
to maintain systems integrity and availability ⓘ
to protect the confidentiality, integrity, and availability of critical systems and data ⓘ
purpose to improve the SEC’s oversight of critical market infrastructure ⓘ
to promote the resilience of the securities markets ⓘ
to promote the stability of the securities markets ⓘ
to reduce the occurrence of systems issues in securities markets ⓘ
regulator U.S. Securities and Exchange Commission ⓘ
regulatoryCategory technology and operational risk regulation ⓘ
relatedTo market structure regulation under the Securities Exchange Act of 1934 ⓘ
requires annual review of compliance with Regulation SCI ⓘ
monitoring of systems capacity and performance ⓘ
notification to affected members or participants of certain systems issues ⓘ
notification to the SEC of certain systems issues ⓘ
periodic systems testing ⓘ
policies and procedures for business continuity and disaster recovery ⓘ
policies and procedures for capacity planning ⓘ
policies and procedures for information security ⓘ
policies and procedures for systems development and testing ⓘ
remedial action to address systems disruptions and vulnerabilities ⓘ
subjectMatter cybersecurity ⓘ
systems integrity ⓘ
technology requirements for securities markets ⓘ

How these facts were elicited

Referenced by (1)

Full triples — surface form annotated when it differs from this entity's canonical label.

Regulation SCI → legalForm → SEC rule under the Securities Exchange Act of 1934 ⓘ