Journal of Investment Compliance: Volume 9 Issue 4
Table of contents
International initiatives in market regulation: the storm before the calm?
Chuck Grieve, Simon Gleeson, Simon CrownThe purpose of this paper is to analyze causes and regulators' responses to the current international financial market crisis.
Pitfalls for non‐US financial institutions undertaking business in the US
Chuck Grieve, Tim Plews, Thomas Pax, Robert HouckThe purpose of this paper is to illustrate the regulatory challenges that financial institutions around the world face in entering the US market.
SEC holds round‐table on fair value accounting and auditing standards
Thomas J. Friedmann, Anthony H. Zacharski, Margaret A. Bancroft, Roger Mulvihill, Susan A. Reading, Robert J. Williams, Alan RosenblatThe purpose of this paper is to summarize and analyze the SEC's July 9, 2008 roundtable discussion regarding fair value accounting and auditing standards.
SEC provides guidance regarding use of company web sites to disclose information for investors
Laurence S. Lese, Azim ChowdhuryThe purpose of this paper is to summarize and analyze SEC guidance to companies and issuers of securities on the use of company web sites to disclose information to investors, as…
SEC proposes mandatory use of XBRL tagging of financial statements
Peter J. Romeo, Richard J. Parrino, Julie A. BellThe purpose of this paper is to explain the SEC's proposal to require domestic and foreign public companies that prepare their financial statements in accordance with US GAAP to…
SEC proposes guidelines for directors overseeing mutual fund portfolio trading
Bibb L. StrenchThis paper aims to provide an update on the mutual fund industry about new brokerage review responsibilities for directors of mutual funds.
SEC staff highlights areas of focus in broker‐dealer, investment adviser and investment company exams
Margaret R. BlakeThe purpose of this paper is to summarize and comment on a July 22, 2008 SEC ComplianceAlert letter, which summarizes findings from recent compliance examinations by the SEC…
President's working group committee reports weigh in on side letters
Lior J. Ohayon, Terisa H. LeeThe purpose of this paper is to analyze disclosure issues relating to side letters between funds and individual investors or groups of investors, as discussed in recent reports by…
CFTC Reauthorization Act of 2008 enacted into law
Susan C. Ervin, Philip T. Hinkle, Brendan C. Fox, Alan RosenblatThe purpose of this paper is to summarize key provisions of the CFTC Reauthorization Act of 2008 which reauthorizes the Commodity Futures Trading Commission (CFTC) through the…
Pleading scienter after Tellabs in Section 10(b) cases generally and in the “subprime” context
Caryn Jacobs, Jeffrey M. Strauss, John J. Tharp, Katherine AgonisThe purpose of this paper is to examine the impact the US Supreme Court's Tellabs decision has had on Section 10 (b) cases generally and on cases related to subprime…
Removal of class actions filed in state court alleging federal securities law violations
Caryn Jacobs, Jeffrey M. Strauss, John J. Tharp, Katherine AgonisThe purpose of this paper is to survey the landscape of recent federal securities class actions filed in state court and explore arguments for removal of those cases to federal…
Summary of selected FINRA regulatory notices, July‐August 2008
Henry A. DavisThe purpose of this paper is to provide excerpts of selected Financial Industry Regulatory Authority (FINRA) Regulatory Notes issued in July and August 2008.
ISSN:
1528-5812e-ISSN:
1758-7476ISSN-L:
1528-5812Online date, start – end:
2000 – 2021Copyright Holder:
Emerald Publishing LimitedEditor:
- Henry A. Davis