In the "Credit Unions, Banks Granted March 2005 Deadline for SEC Broker Reg Compliance" news brief in the Nov. 10 issue, it was incorrectly reported that an SEC deadline was extended to March 31, 2005 for credit unions and banks to comply with broker registration requirements under the Gramm-Leach-Bliley Act (GLBA). That deadline applies to just banks and S&Ls, not credit unions. We regret the error.
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