Date: 2014-09-12 14:40:22Business Investment 76th United States Congress Financial markets U.S. Securities and Exchange Commission Fiduciary Financial adviser Dodd–Frank Wall Street Reform and Consumer Protection Act Investment Advisers Act Law Financial economics Finance | | Statement of CFA Director of Investor Protection Barbara Roper “Wall Street v The Fiduciary Duty and Core Investor Protections: Where We Are and What’s Ahead?” Institute for the Fiduciary Standard Press Briefing SeAdd to Reading ListSource URL: www.consumerfed.orgDownload Document from Source Website File Size: 171,96 KBShare Document on Facebook
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