SEC Legislation, 1963

SEC Legislation, 1963

Author: United States. Congress. Senate. Committee on Banking and Currency

Publisher:

Published: 1963

Total Pages: 492

ISBN-13:

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Considers legislation to extend disclosure requirements to issues of additional publicly traded securities and to provide for improved qualification and disciplinary procedures for registered brokers and dealers.


April 3; November 19-21, 1963. 1964. 673 p

April 3; November 19-21, 1963. 1964. 673 p

Author: United States. Congress. House. Committee on Interstate and Foreign Commerce

Publisher:

Published: 1964

Total Pages: 696

ISBN-13:

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Considers legislation to increase SEC control over securities exchange operations and to extend investment financial disclosure requirements. Includes report on management, operations, and reorganization of the American Stock Exchange, 1962 (p. 420-584)


December 3-5, 1963; January 21-23; February 4, 5, 18, 19, 1964. pp. 675-1418

December 3-5, 1963; January 21-23; February 4, 5, 18, 19, 1964. pp. 675-1418

Author: United States. Congress. House. Committee on Interstate and Foreign Commerce

Publisher:

Published: 1964

Total Pages: 756

ISBN-13:

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Considers legislation to increase SEC control over securities exchange operations and to extend investment financial disclosure requirements. Includes report on management, operations, and reorganization of the American Stock Exchange, 1962 (p. 420-584)