Securities Exchange Act of 1934 Release

Securities Exchange Act of 1934 Release
Author :
Publisher :
Total Pages : 868
Release :
ISBN-10 : NWU:35559002060246
ISBN-13 :
Rating : 4/5 (46 Downloads)

Synopsis Securities Exchange Act of 1934 Release by : United States. Securities and Exchange Commission

Securities Exchange Act of 1934 Release[s]

Securities Exchange Act of 1934 Release[s]
Author :
Publisher :
Total Pages : 1280
Release :
ISBN-10 : UOM:35112103650075
ISBN-13 :
Rating : 4/5 (75 Downloads)

Synopsis Securities Exchange Act of 1934 Release[s] by : United States. Securities and Exchange Commission

Securities Exchange Act of 1934 Release

Securities Exchange Act of 1934 Release
Author :
Publisher :
Total Pages : 358
Release :
ISBN-10 : OSU:32437121677864
ISBN-13 :
Rating : 4/5 (64 Downloads)

Synopsis Securities Exchange Act of 1934 Release by : United States. Securities and Exchange Commission

SEC News Digest

SEC News Digest
Author :
Publisher :
Total Pages : 644
Release :
ISBN-10 : IND:30000088931310
ISBN-13 :
Rating : 4/5 (10 Downloads)

Synopsis SEC News Digest by : United States. Securities and Exchange Commission

Lists documents available from Public Reference Section, Securities and Exchange Commission.

Securities Exchange Act of 1934 Release

Securities Exchange Act of 1934 Release
Author :
Publisher :
Total Pages : 794
Release :
ISBN-10 : NWU:35559002060238
ISBN-13 :
Rating : 4/5 (38 Downloads)

Synopsis Securities Exchange Act of 1934 Release by : United States. Securities and Exchange Commission

Model Rules of Professional Conduct

Model Rules of Professional Conduct
Author :
Publisher : American Bar Association
Total Pages : 216
Release :
ISBN-10 : 1590318730
ISBN-13 : 9781590318737
Rating : 4/5 (30 Downloads)

Synopsis Model Rules of Professional Conduct by : American Bar Association. House of Delegates

The Model Rules of Professional Conduct provides an up-to-date resource for information on legal ethics. Federal, state and local courts in all jurisdictions look to the Rules for guidance in solving lawyer malpractice cases, disciplinary actions, disqualification issues, sanctions questions and much more. In this volume, black-letter Rules of Professional Conduct are followed by numbered Comments that explain each Rule's purpose and provide suggestions for its practical application. The Rules will help you identify proper conduct in a variety of given situations, review those instances where discretionary action is possible, and define the nature of the relationship between you and your clients, colleagues and the courts.

Investment Adviser's Legal and Compliance Guide

Investment Adviser's Legal and Compliance Guide
Author :
Publisher : Wolters Kluwer
Total Pages : 1060
Release :
ISBN-10 : 9781454838494
ISBN-13 : 1454838493
Rating : 4/5 (94 Downloads)

Synopsis Investment Adviser's Legal and Compliance Guide by : Terrance J. O'Malley

Investment Adviser's Legal and Compliance Guide, Second Edition is an invaluable guide written to assist attorneys and investment advisers in both drafting their compliance policies and procedures and reviewing them annually. In addition, the book serves as a practical tool for experienced attorneys and compliance officers for fulfilling their changing responsibilities under new rules adopted under the Investment Advisers Act of 1940, as well as new staff interpretations and guidance. For the Second Edition, the original author, Terrance J. Oand’Malley, is joined by John H. Walsh. While both authors are seasoned practitioners and acknowledged experts in the area of investment adviser compliance matters, Mr. Walshand’s years of experience, including at the SEC, are reflected in the enhanced practical discussion of relevant legal and compliance issues, including increased numbers of compliance tips, enforcement and regulatory alerts, and compliance tools. Investment Adviser's Legal and Compliance Guide, Second Edition covers in detail such topics as: Filings and amendments that an adviser must make to maintain its SEC registration Major rules and requirements dealing with marketing and attracting new clients Issues arising in connection with the management of private funds The SEC's examination process New clients, and the management of client accounts. The book also covers requirements relating to the adviser's obligation to its customers, including preventing insider trading and other trading abuses, as well as an adviser's recordkeeping, which is a major factor in meeting the requirements of the Investment Advisers Act. In addition, Investment Adviser's Legal and Compliance Guide, Second Edition provides registered investment advisers and their legal counsel with a comprehensive review of their compliance responsibilities that arise under the Investment Advisers Act.

Business Law I Essentials

Business Law I Essentials
Author :
Publisher :
Total Pages : 180
Release :
ISBN-10 : 1680923021
ISBN-13 : 9781680923025
Rating : 4/5 (21 Downloads)

Synopsis Business Law I Essentials by : MIRANDE. DE ASSIS VALBRUNE (RENEE. CARDELL, SUZANNE.)

A less-expensive grayscale paperback version is available. Search for ISBN 9781680923018. Business Law I Essentials is a brief introductory textbook designed to meet the scope and sequence requirements of courses on Business Law or the Legal Environment of Business. The concepts are presented in a streamlined manner, and cover the key concepts necessary to establish a strong foundation in the subject. The textbook follows a traditional approach to the study of business law. Each chapter contains learning objectives, explanatory narrative and concepts, references for further reading, and end-of-chapter questions. Business Law I Essentials may need to be supplemented with additional content, cases, or related materials, and is offered as a foundational resource that focuses on the baseline concepts, issues, and approaches.

Securities Law and Practice Deskbook

Securities Law and Practice Deskbook
Author :
Publisher :
Total Pages : 0
Release :
ISBN-10 : 1402418965
ISBN-13 : 9781402418969
Rating : 4/5 (65 Downloads)

Synopsis Securities Law and Practice Deskbook by : Gary M. Brown

In one concise volume, the new sixth edition of Securities Law and Practice Deskbook contains thorough but accessible insight into securities law and regulation, including the sweeping Dodd-Frank changes and the Commission's recent enactment of the "proxy access" rules. Featuring step-by-step checklists that spotlight what you should and should not do as an adviser in the securities arena, this practical treatise enables you to help corporate entities * Deal effectively with the Securities Act registration process -- focusing on the procedures, disclosure requirements, and documents involved, including the drafting of prospectuses, the due diligence necessary to ensure accuracy, and electronic filing * Handle registration and reporting under the Exchange Act -- both initial and mandated periodic reporting, including the revisions made under both Sarbanes-Oxley and the recent financial reform legislation * Minimize liability risks under the Exchange Act -- by understanding what triggers violations under Rule 10b-5, Section 16(b), and Section 14, and by avoiding such practices as churning and market manipulation Securities Law and Practice Deskbook covers the recent legislative, regulatory and judicial changes that * Revised the net worth standard of qualifying as an accredited investor * Increased the SEC's ability to impose penalties in cease-and-desist proceedings * Requires the creation of "claw-back" provisions in listed company compensation plans * Significantly revised "proxy access" and "proxy voting" regulations