Securities and Exchange Commission: Difference between revisions
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== See also == | == See also == | ||
* [[10-K]] | |||
* [[10-Q]] | |||
* [[Bad actor]] | * [[Bad actor]] | ||
* [[Depository Trust Company]] | * [[Depository Trust Company]] | ||
Line 16: | Line 18: | ||
* [[Regulation S-K]] | * [[Regulation S-K]] | ||
* [[Rule 144A]] | * [[Rule 144A]] | ||
==External link== | |||
[https://www.sec.gov/about/what-we-do US Securities and Exchange Commission - what we do] | |||
[[Category:Accounting,_tax_and_regulation]] | [[Category:Accounting,_tax_and_regulation]] | ||
[[Category:The_business_context]] | [[Category:The_business_context]] | ||
[[Category:Financial_products_and_markets]] | [[Category:Financial_products_and_markets]] |
Latest revision as of 07:36, 4 May 2022
US.
(SEC).
The Securities and Exchange Commission is an independent agency which has primary responsibility for enforcing federal securities laws and regulating the securities industry, the stock and options exchanges, and other electronic securities markets in the United States.
See also
- 10-K
- 10-Q
- Bad actor
- Depository Trust Company
- Division of Examinations
- Financial Industry Regulatory Authority
- OCIE
- Public Company Accounting Oversight Board
- Regulation D
- Regulation S-K
- Rule 144A