Practical Guide to Broker-Dealer Regulation

Practical Guide to Broker-Dealer Regulation PDF Author: Margaret A. Sheehan
Publisher: CCH Incorporated
ISBN: 9780808022077
Category : Stockbrokers
Languages : en
Pages : 400

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Book Description

Practical Guide to Broker-Dealer Regulation

Practical Guide to Broker-Dealer Regulation PDF Author: Margaret A. Sheehan
Publisher: CCH Incorporated
ISBN: 9780808022077
Category : Stockbrokers
Languages : en
Pages : 400

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Book Description


United States Securities Law

United States Securities Law PDF Author: James M. Bartos
Publisher: Kluwer Law International B.V.
ISBN: 9041123628
Category : Law
Languages : en
Pages : 326

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Book Description
Capital raising, mergers and acquisitions and securities trading around the world often involve some connection with the United States and implicate the US securities laws. United States Securities Law: A Practical Guide ,offers a concise overview of US securities laws from the perspective of a non-US participant. It is written not only for lawyers but for managers, bankers and others with an interest in the topic. This new edition has been significantly updated and expanded, including for the SEC's recent offering reforms and corporate governance developments. Praise for the Second Edition: This book has been a valuable resource in effectively counselling my company in the intricacies of SEC regulation. Jim, with his many years of counselling foreign issuers out of his firms London office, writes with a perspective that is particularly relevant to the needs of foreign companies listed on US exchanges. George Miller, Executive Vice President and General Counsel, Novartis Corporation. A well written and useful primer for those looking for quick, practical answers to real life questions or who wish to understand better the background and rationale to US securities law and regulation. Leland Goss, Managing Director, Credit Suisse. This book really is a practical guide to the US securities laws. It does a great job of explaining the rules and regulations in a way that can be understood by readers that are not themselves US securities lawyers. Peter Castellon, Director andamp; Counsel, Citigroup Corporate andamp; Investment Banking.

Broker-dealer Law and Regulation

Broker-dealer Law and Regulation PDF Author: Norman S. Poser
Publisher: Aspen Publishers
ISBN:
Category : Business & Economics
Languages : en
Pages : 536

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Book Description


Broker-dealer Law and Regulation

Broker-dealer Law and Regulation PDF Author: Norman S. Poser
Publisher:
ISBN: 9780735567856
Category : Securities
Languages : en
Pages :

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Book Description


SEC Regulation Best Interest

SEC Regulation Best Interest PDF Author: Barry R. Temkin
Publisher:
ISBN:
Category :
Languages : en
Pages : 8

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Book Description
On June 30, 2020 registered securities broker-dealers must begin their compliance with new SEC Regulation Best Interest and Form CRS Relationship Summary/Form ADV Part 3, which were announced by the Securities and Exchange Commission on June 5, 2019. These new regulations were promulgated under authority given to the SEC by the Dodd-Frank Wall Street Reform and Consumer Protection Act of 2010. Regulation Best Interest has four components: (1) the disclosure obligation; (2) the care obligation; (3) the conflict of interest obligation; and (4) the compliance obligation. The Form CRS Relationship Summary/Form ADV Part 3 imposes an obligation on both broker-dealers and investment advisers to provide a Customer Relationship Summary to retail investors. For broker-dealers this form is called Form CRS. For investment advisers this form is Form ADV Part 3. This article will provide some basic preliminary guidance on how broker-dealers and investment advisers can prepare for the June 30 compliance date.

Broker Dealer Operations Under Securities and Commodities Law

Broker Dealer Operations Under Securities and Commodities Law PDF Author: Jerry W. Markham
Publisher:
ISBN: 9780420611307
Category :
Languages : en
Pages :

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Book Description
This work is a two-volume treatise that zeroes in on crucial back-office operations issues faced by broker-dealers everyday. It includes protection, use of customer funds, net capital requirements, record-keeping, reporting and credit regulations. In addition, the work offers an overview of the historical development of broker-dealer practices and the regulatory framework that has grown up around them. It also integrates coverage of commodities regulation throughout the text, oftern comparing and contrasting the different ways securities and commodities regulatory schemes impact upon specific broker-dealer activities.

Broker-Dealer Law and Regulation

Broker-Dealer Law and Regulation PDF Author: Norman S. Poser
Publisher: Aspen Publishers
ISBN: 9780735511231
Category : Law
Languages : en
Pages : 1000

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Book Description
From duties under the common law to obligations imposed by the federal securities statutes, the Third Edition of Broker-Dealer Law and Regulation covers the full range of the law that protects the relationship between broker-dealers and their customers. The Third Edition includes private rights of action, securities arbitration and mediation, and regulation. Whether you represent a brokerage firm or securities dealer, an employee of the firm or a customer, you'll find insightful analysis of the law and practical, expert advice on such crucial issues as: The regulatory framework, especially post-Glass-Steagall -- Broker-Dealer fraud -- Online trading -- Unsuitable recommendations -- Market manipulation -- Vicarious liability -- Defenses in actions against broker-dealers -- Compensatory and punitive damages and attorney's fees -- Rules of self-regulatory organizations -- Securities arbitration -- Mediation of securities disputes -- Conflicts of interest -- Appendices containing both the Federal Arbitration Act and the NASD Code of Arbitration Procedure Broker-Dealer Law and Regulation is also the only available source that fully discusses breach of fiduciary duty and other possible state law claims, which are now much more important under the narrowed scope of SEC Rule 10b-5.

Investment Adviser Regulation

Investment Adviser Regulation PDF Author: Clifford E. Kirsch
Publisher:
ISBN: 9781402407710
Category : Business & Economics
Languages : en
Pages : 0

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Book Description
Investment Adviser Regulation: A Step-by-Step Guide to Compliance and the Law gives you the thorough regulatory guidance you need to understand the rules currently governing investment advisers while ensuring you keep pace with the tougher rules to come. This straightforward, easy-to-read compliance resource shows you how to file and update the pivotal Form ADV and draft compliant advisory contracts.

Broker-Dealer Compliance

Broker-Dealer Compliance PDF Author: James A. Fanto
Publisher: Edward Elgar Publishing
ISBN: 1800889577
Category : Law
Languages : en
Pages : 223

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Book Description
Broker-Dealer Compliance is a concise yet comprehensive guide that reviews the state of broker-dealer compliance, both from general and practical perspectives. While the book has a practical focus, it also makes use of legal scholarship and behavioral and organizational literature on compliance that have grown exponentially in recent years.

A Guide to Broker-Dealer Regulation

A Guide to Broker-Dealer Regulation PDF Author: Steven Lofchie
Publisher:
ISBN: 9780970106711
Category : Brokers
Languages : en
Pages : 808

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Book Description