Key Federal Securities Statutes (Summer 2019 Edition)

Key Federal Securities Statutes (Summer 2019 Edition)

Author: Investment Lawyer's Reference Guide

Publisher:

Published: 2019-07-12

Total Pages: 600

ISBN-13: 9781080060375

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In one convenient volume, this book provides reproductions of the text of the Securities Act of 1933, Securities Exchange Act of 1934, Investment Company Act of 1940, and Investment Advisers Act of 1940. It reflects the current versions of these laws through June 12, 2019, as updated by the Office of the Legislative Counsel of the United States Congress. This is an unofficial publication and is neither authorized nor endorsed by the United States Congress or any governmental body.


Federal Securities Laws

Federal Securities Laws

Author: JOHN C. COFFEE. SALE JR (HILLARY A.. WHITEHEAD, CHARLES K.)

Publisher: Foundation Press

Published: 2019-12-17

Total Pages: 2391

ISBN-13: 9781642429398

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This volume serves as a federal securities laws supplement, providing selected statutes, rules, and forms. It is the most complete supplement available and is regularly updated and revised. Contents include the Securities Act of 1933, Securities Exchange Act of 1934, Investment Company Act of 1940, Investment Advisers Act of 1940, SEC Rules of Practice, and related federal laws. It contains many changes from the prior year's version, including: Amendments to Regulation A; Amendments to Regulation C; Amendments to Regulation S-K; Amendments to Regulation S-T; Amendments to Regulation 14A; Amendments to Regulation M; Amendments to Regulation NMS; New Securities Act Rule 139b and new Investment Company Act Rule 24b-4 regarding publication or distribution of covered investment fund research reports; New Exchange Act Rule 15l-1 regarding broker-dealer obligations when making recommendations to customers; New Exchange Act Subpart 18a regarding capital, margin and segregation requirements for security-based swap dealers and participants; New Investment Company Act Rule 30e-3 allowing online reports to shareholders by registered investment companies; New Rules of Practice Rule 194 regarding security-based swap dealers/participants; Amendments to various forms. This edition has a cutoff date of September 10, 2019.


Federal Securities Laws

Federal Securities Laws

Author: John C. Coffee, Jr.

Publisher: Foundation Press

Published: 2018-11-15

Total Pages: 2300

ISBN-13: 9781642426731

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This volume serves as a federal securities laws supplement, providing selected statutes, rules, and forms. It is the most complete supplement available and is regularly updated and revised. Contents include the Securities Act of 1933, Security Exchange Act of 1934, Investment Company Act of 1940, Investment Advisers Act of 1940, SEC Rules of Practice, and related federal laws. It contains many changes from the prior year's version: Changes to Regulation S-K; Changes to Regulation S-X; New Securities Act Rule 135d regarding communications involving security-based swaps; Amendment of Securities Act Rule 701; Temporary relief from certain crowdfunding reporting requirements in Securities Act Rule 203; and Temporary Investment Company Act Rule 30b1-9(T) regarding monthly reports on Form N-PORT. This edition has a cutoff date of September 15th, 2018.


Securities Regulation

Securities Regulation

Author: James D. Cox

Publisher: Aspen Publishers

Published: 2019-07-22

Total Pages: 0

ISBN-13: 9781543812756

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Designed specifically for the Securities Regulation course, this statutory supplement contains all the relevant statutes, rules, and forms needed—in a remarkably concise and uncluttered format. A highly effective teaching tool, it is the ideal complement to any casebook for Securities Regulation, including but not exclusive to the authors’ own Securities Regulation: Cases and Materials, Ninth Edition (forthcoming November 2019). New to the 2019 Edition: New Rule 15l-1 Regulation Best Interest has been added Thoroughly updated to reflect numerous changes made by the SEC to modernize and simplify disclosure requirements for public companies, investment advisers, and investment companies facilitate the disclosure of information to investors simplify compliance without significantly altering the total mix of information provided to investors.


Federal Securities Laws

Federal Securities Laws

Author: John C. Coffee

Publisher: Foundation Press

Published: 2017-02-17

Total Pages: 0

ISBN-13: 9781683286837

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This volume serves as a federal securities laws supplement, providing selected statutes, rules, and forms. It is the most complete supplement available and is regularly updated and revised. Contents include the Securities Act of 1933, Security Exchange Act of 1934, Investment Company Act of 1940, Investment Advisers Act of 1940, SEC Rules of Practice, and related federal laws. The authors also added coverage of Regulation A+ and Regulation Crowdfunding Rules. The revised edition contains changes to securities laws from the FAST Act, including a new resale exemption in section 4(a)(7) and changes to the rules regarding emerging growth companies. This edition has a cutoff date of October 15th, 2016.


Federal Securities Laws

Federal Securities Laws

Author: Jr Coffee

Publisher: Foundation Press

Published: 2007-07

Total Pages: 2292

ISBN-13: 9781599412719

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This volume serves as a federal securities laws supplement, providing selected statutes, rules, and forms. It is the most complete supplement available and is regularly updated and revised. Contents include the Securities Act of 1933, Security Exchange Act of 1934, Investment Company Act of 1940, Investment Advisers Act of 1940, SEC Rules of Practice, and related federal laws. The 2007 Edition follows the format of earlier years and contains updates through March 1, 2007, including the SEC's new Executive Compensation and Internet Proxy Rules.


Securities Regulation, Selected Statutes, Rules and Forms, 2020 Edition

Securities Regulation, Selected Statutes, Rules and Forms, 2020 Edition

Author: THOMAS LEE. HAZEN

Publisher: West Academic Publishing

Published: 2019-11-25

Total Pages: 1900

ISBN-13: 9781642429497

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Receive complimentary lifetime digital access to the eBook with new print purchase. Selections in the book include the text of basic federal securities laws, related Securities and Exchange Commission (SEC) rules and forms, and other selected related laws and regulations. It is designed as a supplement to securities regulation texts used in law school courses, but it can also serve as a reference for lawyers, securities professionals, and corporate officers. The booklet contains changes made through November 2019.


Federal Securities Laws

Federal Securities Laws

Author:

Publisher:

Published: 2006

Total Pages: 2230

ISBN-13: 9781599411644

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This volume serves as a federal securities laws supplement, providing selected statutes, rules, and forms. Contents include the Securities Act of 1933, Security Exchange Act of 1934, Investment Company Act of 1940, Investment Advisers Act of 1940, SEC Rules of Practice, related federal laws, and state securities laws. Also includes early 2002 amendments to the Securities Act of 1933 and the Securities Exchange Act of 1934. The Revised 2005 Edition of Federal Securities Laws: Selected Statutes, Rules and Forms follows the format of earlier years. Early in 2002 Congress changed fee provisions in Section 6(b) of the Securities Act of 1933 and amended Section 4(b), 13(f), 14(g), and 31 of the Securities Exchange Act of 1934 to address fees and SEC expenditures. Rule 135b of the Securities Act of 1933 was amended as were Regulations S-B and S-K Items 201 and 601. There were several Rules added or amended in the Securities Exchange Act. These included Rules 3a4-2, 3a4-3, 3a4-5, 3a4-6, 3a5-1, 3a55-1, 3a55-2, 3a55-3, 3b-17, 3b-18, 6a-3, 6a-4, 14a-3, 15a-7, 15a-8, 15a-9, 15a-10, 15b2-2, 15b11-1, 17a-3, 17a-4, 17a-25, 17AD-7, 19b-4, 19b-7, and 31-1. In addition, Rule 303 of Regulation ATS was amended as were Item 12 of Form 10-K and Item 11 of Form 10-KSB. There are also amendments to Investment Company Act Rules 2a-7, 5b-3 and 31a-2 as well as Rule 204-2 of the Investment Advisers Act and Rule 202.3 of SEC Rules of Practice.