dealers in securities

торговцы ценными бумагами ;

Англо-Русский словарь финансовых терминов. 2000.

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  • Securities and Futures Authority Ltd — SFA The Self Regulating Organization formed from the merger of The Securities Association Ltd (TSA) and the Association of Futures Brokers and Dealers Ltd (AFBD) in April 1991. It was responsible for regulating the conduct of brokers and dealers… …   Accounting dictionary

  • Securities and Futures Authority Ltd — SFA The Self Regulating Organization formed from the merger of The Securities Association Ltd (TSA) and the Association of Futures Brokers and Dealers Ltd (AFBD) in April 1991. It was responsible for regulating the conduct of brokers and dealers… …   Big dictionary of business and management

  • Securities and Futures Authority — Abbr. SFA. Dresdner Kleinwort Wasserstein financial glossary A Self Regulating Organisation ( SRO) that had responsibility for the regulation of firms engaged in the securities and futures sectors of the financial services market. Companies… …   Financial and business terms

  • Securities Exchange Act of 1934 — Securities Exchange Act of 1934: A US statute which primarily regulates the trading of securities of public companies and provides for ongoing reporting by issuers whose securities are listed on a US stock market or are publicly offered in the US …   Law dictionary

  • Securities Industry and Financial Markets Association — (SIFMA) USA SIFMA is a securities industry trade association that represents the interests of securities firms, banks, US registered broker dealers and asset managers. SIFMA represents its members on regulatory and legislative issues that impact… …   Law dictionary

  • Securities Exchange Act — of 1934: A US statute which primarily regulates the trading of securities of public companies and provides for ongoing reporting by issuers whose securities are listed on a US stock market or are publicly offered in the US. It regulates tender… …   Law dictionary

  • Securities fraud — Securities fraud, also known as stock fraud and investment fraud, is a practice in which investors make purchase or sale decisions on the basis of false information, frequently resulting in losses, in violation of the securities laws. [… …   Wikipedia

  • Securities regulation in the United States — is the field of U.S. law that covers various aspects of transactions and other dealings with securities. It includes both Federal and state level regulation by purely governmental regulatory agencies, most notably the Federal level United States… …   Wikipedia

  • Securities and exchange commission — Sceau de la Securities and Exchange Commission La Securities and Exchange Commission (SEC) est l organisme fédéral américain de réglementation et de contrôle des marchés financiers. C est en quelque sorte le « gendarme de la B …   Wikipédia en Français

  • Securities Exchange Act of 1934, as amended — (Exchange Act) USA The federal statute regulating reporting obligations of reporting companies, tender offers, certain trading practices, insider trading and the registration and conduct of broker dealers. The SEC requires that public companies… …   Law dictionary

  • Securities Information Center — ( SIC) A corporation that has been designated by the SEC to maintain and operate a national database of lost and stolen securities. Under Section 17( f) of the Securities and Exchange Act, banks, brokers, and dealers are required to use this… …   Financial and business terms

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