Liability Under the Securities Laws of Brokers Who Act Fraudulently in Inducing the Purchase of Uninsured Certificates of Deposit.
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.
| Corporate Authors: | , |
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| Format: | eBook |
| Language: | English |
| Published: |
[Place of publication not identified] :
[publisher not identified],
1982.
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| Series: | U.S. Congressional Research.
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| Subjects: | |
| Online Access: | Connect to the full text of this electronic book |
Internet
Connect to the full text of this electronic bookAvailable Online
| Call Number: |
CRS-1982-AML-0030 |
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| Call Number | Status | Get It |
| CRS-1982-AML-0030 | Available | |