Within 30 days after June 30, 2000, the Securities and Exchange Commission shall issue a regulation or order pursuant to paragraph (1) exempting from section
7001
(c) of this title any records that are required to be provided in order to allow advertising, sales literature, or other information concerning a security issued by an investment company that is registered under the Investment Company Act of 1940 [
15 U.S.C.
80a–1 et seq.], or concerning the issuer thereof, to be excluded from the definition of a prospectus under section
77b
(a)(10)(A) of this title.