Investment Company Act Amendments of 1967 : Bank and Insurance Company Collective Investment Funds and Accounts: hearings before the United States House Committee on Interstate and Foreign Commerce, Subcommittee on Commerce and Finance, Ninetieth Congress, second session, on Mar. 14, 15, 1968.
Committee Serial No. 90-31. Considers H.R. 14742 and related H.R. 9510, H.R. 9511, S. 1659, and H.R. 10, to amend the Investment Company Act and the Investment Advisers Act to regulate the relationship between investment funds and their advisers and underwriters. Focuses on bank fiduciary operations...
| Corporate Authors: | , |
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| Format: | Government Document eBook |
| Language: | English |
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Washington :
U.S. G.P.O.,
1968.
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| Series: | U.S. Congressional Hearings.
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| Subjects: | |
| Online Access: | Connect to the full text of this electronic book |
| Summary: | Committee Serial No. 90-31. Considers H.R. 14742 and related H.R. 9510, H.R. 9511, S. 1659, and H.R. 10, to amend the Investment Company Act and the Investment Advisers Act to regulate the relationship between investment funds and their advisers and underwriters. Focuses on bank fiduciary operations of collective investment funds. Considers (90) H.R. 9510, (90) H.R. 9511, (90) H.R. 10, (90) S. 1659, (90) H.R. 14742. |
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| Item Description: | Record is based on bibliographic data in ProQuest Congressional Hearings Digital Collection. Reuse except for individual research requires license from ProQuest, LLC. Electronic resource. |
| Physical Description: | 1 online resource. |
| Format: | System requirements: PDF reader software. |