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Liability Under the Securities Laws of Brokers Who Act Fraudulently in Inducing the Purchase of Uninsured Certificates of Deposit.
- Format:
- Book
- Government document
- Author/Creator:
- Library of Congress. Congressional Research Service.
- Language:
- English
- Subjects (All):
- Financial institutions.
- Saving and investment.
- Physical Description:
- 1 online resource (6 pages) : digital, PDF file
- monochrome
- Place of Publication:
- [Place of publication not identified] : [publisher not identified], 1982.
- System Details:
- System requirements: PDF reader software.
- text file
- Summary:
- Examines whether money brokers are subject to any liability under the Securities Exchange Act of 1934 if they act fraudulently in inducing the purchase of uninsured certificates of deposit from financial institutions.
- Notes:
- CRS Report.
- Record is based on bibliographic data in ProQuest U.S. Congressional Research Digital Collection (last viewed June 2010). Reuse except for individual research requires license from ProQuest, LLC.
- Other Format:
- Microfiche version: Library of Congress. Congressional Research Service. Liability Under the Securities Laws of Brokers Who Act Fraudulently in Inducing the Purchase of Uninsured Certificates of Deposit
- Access Restriction:
- Restricted for use by site license.
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