Investor Protection. hearings before the United States House Committee on Interstate and Foreign Commerce, Subcommittee on Commerce and Finance, Eighty-Eighth Congress, first session, on Apr. 3, Nov. 19-21, 1963. Part 1 :

Considers legislation to increase SEC control over securities exchange operations and to extend investment financial disclosure requirements. Includes report on management, operations, and reorganization of the American Stock Exchange, 1962 (p. 420-584).

Bibliographic Details
Corporate Authors: United States. Congress. House. Committee on Interstate and Foreign Commerce. Subcommittee on Commerce and Finance, ProQuest (Firm)
Format: Government Document eBook
Language:English
Published: Washington : U.S. G.P.O., 1963.
Series:U.S. Congressional Hearings.
Subjects:
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Call Number: HRG-1963-FCH-0035
 
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