| §33.1 |
Constitutional Authority and Constitutional Restrictions |
| §33.2 |
Distributions to the Available School Fund |
| §33.5 |
Code of Ethics |
| §33.10 |
Purposes of Texas Permanent School Fund Assets and the Statement of Investment Policy |
| §33.15 |
Objectives |
| §33.20 |
Responsible Parties and Their Duties |
| §33.25 |
Permissible and Restricted Investments and General Guidelines for Investment Managers |
| §33.30 |
Standards of Performance |
| §33.35 |
Guidelines for the Custodian and the Securities Lending Agent for the Texas Permanent School Fund (PSF) and the PSF Liquid Account |
| §33.40 |
Trading and Brokerage Policy |
| §33.45 |
Proxy Voting Policy |
| §33.50 |
Socially and Politically Responsible Investment Policy |
| §33.55 |
Standards for Selecting Consultants, Investment Managers, Custodians, and Other Professionals To Provide Outside Expertise for the Fund |
| §33.60 |
Performance and Review Procedures |
| §33.65 |
Bond Guarantee Program for School Districts |
| §33.67 |
Bond Guarantee Program for Charter Schools |
| §33.1001 |
Payments for Remittance to Charter District Bond Guarantee Reserve Fund |