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Genre | : |
Author | : |
Publisher | : Government Printing Office |
Release | : |
File | : 888 Pages |
ISBN-13 | : 0160861101 |
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Genre | : |
Author | : |
Publisher | : Government Printing Office |
Release | : |
File | : 888 Pages |
ISBN-13 | : 0160861101 |
Genre | : Banking law |
Author | : United States. Congress |
Publisher | : |
Release | : 2010 |
File | : 904 Pages |
ISBN-13 | : UOM:39015090418495 |
In this volume, what are thought to be some of the more important aspects of the Dodd-Frank Act are discussed from a number of perspectives, including that of industry scholars who have been actively involved in evaluating financial regulation, regulators who are responsible for implementing the reform, financial policy experts representing think tanks and banking trade associations, congressmen and congressional staff involved with developing the legislation, and legal scholars. The volume summarizes the act, evaluates how the new regulations are being implemented and how the implementation process is progressing, and discusses modifications that, in the views of the authors, might be needed to more effectively achieve the stated goals of the legislation.
Genre | : Law |
Author | : Douglas D Evanoff |
Publisher | : World Scientific |
Release | : 2014-06-13 |
File | : 319 Pages |
ISBN-13 | : 9789814590051 |
The DF makes significant changes to Fed. regulation of the U.S. OTC derivatives markets. The act calls for swaps to be centrally cleared and traded on an exchange or execution facility and for dealers and major participants that trade these derivatives to be subject to collateral requirements. Although the act exempts certain types of swaps and traders from these clearing, collateral, and trading venue requirements in order to preserve market efficiency, all swaps will be subject to new record-keeping and reporting rules. This report reviews some important features of the new law and discuss their potential impact on agribusiness, much of which will depend on how the rules are written and implemented by regulators. This is a print on demand report.
Genre | : Business & Economics |
Author | : Michael K. Adjemian |
Publisher | : DIANE Publishing |
Release | : 2011-04 |
File | : 21 Pages |
ISBN-13 | : 9781437942576 |
Genre | : |
Author | : |
Publisher | : DIANE Publishing |
Release | : |
File | : 40 Pages |
ISBN-13 | : 9781437938593 |
This report identifies provisions in the Act as a whole that either require or permit rulemaking by any federal agency, including the Board of Governors of the Federal Reserve System, the Securities and Exchange Commission, the Commodity Futures Trading Commission, and the Consumer Financial Protection Bureau. Cf. p. 2.
Genre | : Financial services industry |
Author | : Curtis W. Copeland |
Publisher | : DIANE Publishing |
Release | : 2010 |
File | : 92 Pages |
ISBN-13 | : 9781437943504 |
As a result of numerous recent corporate and accounting scandals, corporate officers, directors, managers, and trustees now face a host of new problemsand—ranging from a blizzard of new legislation, rules, and responsibilitiesand—to increased SEC oversight, new NYSE and NASDAQ listing standards, new fiduciary and other duties, and crushing new criminal penalties. Representing Corporate Officers, Directors, Managers, and Trustees tells you what to look for...what to look out for...and what steps to take to protect your corporate clients in todayand’s harsh regulatory environment. Itand’s the only up-to-date work of its kind to offer both in-depth analysis and practical guidance on every key aspect of this critically important area. This completely updated Second Edition thoroughly covers: Directorsand’ duty of careand— including the different standards which have been imposed on directors regarding the duty of care...the duty of loyalty...the business judgment rule... when directors are entitled to rely on the advice of others...improperly influencing audits under the Sarbanes-Oxley Act... improper distributions...and more. Conflicts of interestand—with examples of conflict of interest transactions, and discussion of loans to or by directors and officers...secret profits...and the duty to safeguard confidential or inside informationand— plus, how certain transactions considered improper can be ratified and thus become legitimate. Federal securities lawsand—including everything from overviews of the laws, the SEC, and securities themselvesand— to jurisdiction, pleading, remedies, and defenses in securities cases... the new criminal penalties...and attorneysand’ responsibilities regarding liability under Sarbanes-Oxley. Indemnification and insuranceand— with discussion of mandatory and permissive indemnification and the scope of indemnification in various states... when a director may be indemnified even if not wholly successful in defense of anaction...directorsand’ and officersand’ liability insurance...types and extent of insurance coverage...tax law treatment...and exclusions. Tender offersand—including antitakeover measures, two-tier and squeeze-out mergers, and golden parachute agreements, poison pill plans, and greenmail...potential liability in tender offers...and implementing mergers and acquisitions, with securities law, antitrust, tax, accounting, and labor law considerations.
Genre | : Law |
Author | : Marc J. Lane |
Publisher | : Wolters Kluwer |
Release | : 2010-09-17 |
File | : 1484 Pages |
ISBN-13 | : 9780735598089 |
Genre | : Business & Economics |
Author | : United States. Congress. House. Committee on Agriculture |
Publisher | : |
Release | : 2011 |
File | : 228 Pages |
ISBN-13 | : UCSD:31822037826278 |
An executive overview of the new Financial Regulations Act This book provides an executive summary of the newly passed Financial Regulations Act. It examines the most important sections of the Act, how it impacts the financial industry, as well as what executives must know and do in order to comply with the Act. One of the first books to provide an executive summary from a compliance perspective Presents responsibilities of senior level executives regarding this new Act Reveals what has changed within the regulatory environment Provides tips and techniques throughout Describing the government regulation of securities, securities markets, and securities transactions in the United States, this timely book succinctly defines, describes, and explains domestic securities regulation for compliance officers, accountants, and broker-dealers.
Genre | : Business & Economics |
Author | : Sanjay Anand |
Publisher | : John Wiley & Sons |
Release | : 2011-02-01 |
File | : 115 Pages |
ISBN-13 | : 9781118028339 |
Genre | : Banking law |
Author | : California. Legislature. Senate. Committee on Banking and Financial Institutions |
Publisher | : |
Release | : 2011 |
File | : 244 Pages |
ISBN-13 | : UCR:31210020806558 |