[Federal Register: April 26, 2004 (Volume 69, Number 80)] [CORRECTIONS] [Page 22599] From the Federal Register Online via GPO Access [wais.access.gpo.gov] [DOCID:fr26ap04-152] [[Page 22599]] COMMODITY FUTURES TRADING COMMISSION Futures Market Self-Regulation Correction In notice document 04-8235 beginning on page 19166 in the issue of Monday, April 12, 2004 make the following correction: On page 19167, in the second column, remove the first two paragraphs and insert them into footnote 9 of the first column, so that footnote 9 appears as follows: \9\ Originally, Regulation 1.3(ff) defined a DSRO to be an SRO: of which [an FCM] is a member or, if the [FCM] is a member of more than one [SRO] and such [FCM] is the subject of an approved plan under Sec. 1.52, then [an SRO] delegated the responsibility by such a plan for monitoring and auditing such [FCM] for compliance with the minimum financial and related reporting requirements of the [SROs] of which the [FCM] is a member, and for receiving the financial reports necessitated by such minimum financial and related reporting requirements from such [FCM]. 43 FR at 39967. Regulation 1.3(ff) subsequently has been amended to include introducing brokers (``IBs'') and leverage transaction merchants. [FR Doc. C4-8235 Filed 4-23-04; 8:45 am] BILLING CODE 1505-01-D