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  2. Security segregation - Wikipedia

    en.wikipedia.org/wiki/Security_segregation

    Thus, for example, in the United States the law (in particular, the SEC's customer protection rule, Rule 15c3-3) generally requires that a broker must take steps to hold separately, in separate (segregated) accounts on the broker's books, securities it holds for its customers from securities of the broker itself. [1] [2] [3] The purpose of the ...

  3. Net capital rule - Wikipedia

    en.wikipedia.org/wiki/Net_capital_rule

    Second, to adopt the Alternative Method a broker-dealer must compute the "aggregate debit balances" owed by customers under the "customer reserve formula" specified by SEC Rule 15c3-3. Many small broker-dealers prefer to comply with one of the three exemptions from the Rule 15c3-3 requirements rather than create the operational capabilities to ...

  4. Nationally recognized statistical rating organization - Wikipedia

    en.wikipedia.org/wiki/Nationally_recognized...

    The use of the term NRSRO began in 1975 when the SEC promulgated rules regarding bank and broker-dealer net capital requirements (17 CFR 240.15c3-1).[1]Prior to 1975, the SEC did not adopt specific standards for determining which credit rating agencies were "nationally recognized", and instead addressed the question on a case-by-case basis. [2]

  5. US court vacates SEC 'dealer rule' on Treasury markets - AOL

    www.aol.com/news/us-court-vacates-sec-dealer...

    Adopted in February over Republican officials' objections, the rule required proprietary traders and others who routinely deal in government bonds and other securities to register as broker ...

  6. Securities market participants (United States) - Wikipedia

    en.wikipedia.org/wiki/Securities_market...

    Electronic ticker monitor display, showing the bid and offer status of securities. Securities market participants in the United States include corporations and governments issuing securities, persons and corporations buying and selling a security, the broker-dealers and exchanges which facilitate such trading, banks which safe keep assets, and regulators who monitor the markets' activities.

  7. United States securities regulation - Wikipedia

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

    The SEC was created by the Securities Exchange Act of 1934 to enforce the Securities Act of 1933. [3] The SEC oversees several important organizations: for example, FINRA, a self-regulatory organization, is regulated by the SEC. FINRA promulgates rules that govern broker-dealers and certain

  8. List of mergers of securities firms - Wikipedia

    en.wikipedia.org/wiki/List_of_mergers_of...

    Mellon Securities Corporation: First Boston Corporation: 1947 Lonsdale Investment Trust: Robert Benson & Co. Robert Benson Lonsdale: 1956 Eastman Dillon & Co. Union Securities: Eastman Dillon Union Securities & Co. 1957 S. G. Warburg & Co. Seligman Bros. S. G. Warburg & Co. 1961 Robert Benson Lonsdale: Kleinwort, Sons & Co. Kleinwort Benson ...

  9. Direct market access - Wikipedia

    en.wikipedia.org/wiki/Direct_market_access

    This owes to changes to the net capital rule, Rule 15c3-1, that the US Securities and Exchange Commission adopted in July 2013, [4] which amended the regulatory capital requirements for US-regulated broker-dealers and required sponsored access trades to go through the sponsoring broker's pre-trade risk layer.