The Securities Regulatory Handbook : 1998-1999
Rapid changes are occurring in the rules governing banking securities activities. This volume guides financial institutions around the constraints on securities underwriting, brokerage activities, and trading and investments. It provides both the statutory background and the current interpretation of bank securities laws coveting underwriting, trading and dealing; mutual funds; derivative products, and overseas securities activities.
- Paperback | 147 pages
- 216.7 x 279.4 x 10.4mm | 447.88g
- 15 Oct 1998
- Taylor & Francis Inc
- M.E. Sharpe
- Armonk, United States
- 1998-1999 ed.