<--- Back to Details
First PageDocument Content
United States securities law / Self-regulatory organizations / U.S. Securities and Exchange Commission / Economy / Financial Industry Regulatory Authority / Law / Securities Exchange Act / Government / Securities regulation in the United States
Date: 2011-04-30 09:58:53
United States securities law
Self-regulatory organizations
U.S. Securities and Exchange Commission
Economy
Financial Industry Regulatory Authority
Law
Securities Exchange Act
Government
Securities regulation in the United States

SR-FINRANotice of Filing and Immediate Effectiveness

Add to Reading List

Source URL: www.batsoptions.com

Download Document from Source Website

File Size: 61,44 KB

Share Document on Facebook

Similar Documents

Kontrolle von Investmentfonds  Warum konnte Madoff mindestens 13 Jahre ein Ponzi Schema betreiben?  Financial Industry Regulatory Authority führte seitergebnislose Untersuchungen gegen Madoff’s Unterneh

Kontrolle von Investmentfonds  Warum konnte Madoff mindestens 13 Jahre ein Ponzi Schema betreiben?  Financial Industry Regulatory Authority führte seitergebnislose Untersuchungen gegen Madoff’s Unterneh

DocID: 1uR5a - View Document

Distributed Ledger Technology: Implications of Blockchain for the Securities Industry1 JANUARYA REPORT FROM THE FINANCIAL INDUSTRY REGULATORY AUTHORITY

Distributed Ledger Technology: Implications of Blockchain for the Securities Industry1 JANUARYA REPORT FROM THE FINANCIAL INDUSTRY REGULATORY AUTHORITY

DocID: 1uzuN - View Document

Distributed Ledger Technology: Implications of Blockchain for the Securities Industry1 JANUARYA REPORT FROM THE FINANCIAL INDUSTRY REGULATORY AUTHORITY

Distributed Ledger Technology: Implications of Blockchain for the Securities Industry1 JANUARYA REPORT FROM THE FINANCIAL INDUSTRY REGULATORY AUTHORITY

DocID: 1u7M9 - View Document

How Widespread and Predictable is Stock Broker Misconduct?∗ Craig McCann, PhD, CFA† Chuan Qin, PhD‡ Mike Yan, PhD, CFA, FRM§ Abstract

How Widespread and Predictable is Stock Broker Misconduct?∗ Craig McCann, PhD, CFA† Chuan Qin, PhD‡ Mike Yan, PhD, CFA, FRM§ Abstract

DocID: 1rpew - View Document

SR-FINRANotice of Filing and Immediate Effectiveness

SR-FINRANotice of Filing and Immediate Effectiveness

DocID: 1rngb - View Document