enow.com Web Search

Search results

  1. Results from the WOW.Com Content Network
  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. 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]

  4. 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 ...

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

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

    For premium support please call: 800-290-4726 more ways to reach us

  6. Public Company Accounting Oversight Board - Wikipedia

    en.wikipedia.org/wiki/Public_Company_Accounting...

    Each member serves full-time, for staggered five-year terms. The board's budget, approved by the SEC each year, is funded by fees paid by the companies and broker-dealers who rely on the audit firms overseen by the board. The organization has a staff of about 800 and offices in 11 states in addition to its headquarters in Washington.

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

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

    This regulation generally provides that broker-dealers must … Continue reading → The post SEC Issues Risk Alert: Here's Why Your Broker Needs to Act in Your Best Interest appeared first on ...

  8. Securities fraud - Wikipedia

    en.wikipedia.org/wiki/Securities_fraud

    During 2006 and 2007, securities fraud class actions were driven by market wide events, such as the 2006 backdating scandal and the 2007 subprime crisis. Securities fraud lawsuits remained below historical averages. [35] Some manifestations of this white collar crime have become more frequent as the Internet gives criminals greater access to prey.

  9. SEC Chair Gensler’s 49 Proposed Regulations Draw Ire ... - AOL

    www.aol.com/finance/sec-chair-gensler-49...

    Securities and Exchange Commission (SEC) Chair Gary Gensler -- nominated in February 2021 by President Joe Biden and sworn in by April -- didn't lose one minute to address a slew of issues and ...

  1. Related searches sec complaints against brokers and dealers in pennsylvania list of cars

    list of sec enforcement caseslist of sec lawsuits