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  2. List of major SEC enforcement actions (2009–2012) - Wikipedia

    en.wikipedia.org/wiki/List_of_major_SEC...

    The SEC's complaint against Smith & Nephew PLC alleged that its subsidiaries used a distributor to create a slush fund to make illicit payments to public doctors employed by government hospitals or agencies in Greece. Smith & Nephew PLC and its U.S. subsidiary Smith & Nephew Inc. paid more than $22 million to settle the SEC's and DOJ's actions.

  3. United States securities regulation - Wikipedia

    en.wikipedia.org/wiki/United_States_Securities...

    Securities issued by a savings and loan association or bank; Securities issued or guaranteed by a municipality, or any government entity in the United States; Certain short term notes, generally less than nine months; A full list of exemptions can be found in sections 3(a)(2)-3(a)(8), 15 U.S.C. §§ 77c(a)(2)-(a)(8) of the Securities Act of ...

  4. Securities Investor Protection Corporation - Wikipedia

    en.wikipedia.org/wiki/Securities_Investor...

    The Securities Investor Protection Corporation (SIPC / ˈ s ɪ p ɪ k /) is a federally mandated, non-profit, member-funded, United States government corporation created under the Securities Investor Protection Act (SIPA) of 1970 [3] that mandates membership of most US-registered broker-dealers.

  5. SEC charges broker-dealers, investment advisors over ... - AOL

    www.aol.com/news/sec-charges-broker-dealers...

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  6. Beware: SEC Issues Risk Alert. Here's How Clients Can ... - AOL

    www.aol.com/finance/sec-issues-risk-alert-heres...

    Continue reading → The post SEC Issues Risk Alert: Here's Why Your Broker Needs to Act in Your Best Interest appeared first on SmartAsset Blog. Beware: SEC Issues Risk Alert. Here's How Clients ...

  7. Uniform Securities Act - Wikipedia

    en.wikipedia.org/wiki/Uniform_Securities_Act

    The Act was first promulgated in 1930, when it was entitled the Uniform Sales of Securities Act of 1930. [1] The 1930 Act met with limited success, enacted by only five jurisdictions. [2] In 1943, the NCCUSL dropped the Act from its list of Uniform Acts. [3] The Act was substantially revised in 1956, as the Uniform Securities Act of 1956. [4]

  8. U.S. SEC seeks public comment on brokers' custody of ... - AOL

    www.aol.com/news/u-sec-seeks-public-brokers...

    The U.S. Securities and Exchange Commission (SEC) on Wednesday asked for public comment on broker-dealer custody of digital assets and how the broker-dealers should be regulated when holding these ...

  9. Sky Capital fraud case - Wikipedia

    en.wikipedia.org/wiki/Sky_Capital_Fraud_Case

    The Sky Capital Fraud Case was a significant securities fraud prosecution in New York's history involving Ross Mandell, the founder of Sky Capital Holdings Ltd., and Adam Harrington, a former broker at the company. The two men were accused and successfully convicted of defrauding investors out of $140 million over an eight-year period by using ...