Search results “Securities law regulation”
Securities Law Introduction
Professor Alastair Hudson introduces the Securities Law course. Securities Law Modules: • Module A: The foundations of securities regulation • Module B: Prospectus and transparency regulation of securities • Module C: Liability for misstatements in a prospectus • Module D: The Listing Rules and the Model Code Find out more about this course here: http://www.londoninternational.ac.uk/courses/postgraduate/llm-postgraduate-laws-llm-postgraduate-diploma-postgraduate-certificate#structure Find out more about the course convenor Professor Alastair Hudson: https://socialsciences.exeter.ac.uk/law/staff/hudson/
The Securities Act of 1933 and the Securities Exchange Act of 1934
This video discusses how the Securities Act of 1933 and the Securities Exchange Act of 1934 affected financial accounting in the United States. These acts created the Securities and Exchange Commission (SEC) and require publicly-traded companies to be registered with the SEC. Publicly-traded companies must file an annual report (the 10-K), a quarterly report (the 10-Q), and a report whenever there is a material event (the 8-K) such as a bankruptcy, change of ownership, etc. This significantly increased the regulation for public companies in the U.S. and increased protections for investors. Edspira is your source for business and financial education. To view the entire video library for free, visit http://www.Edspira.com To like Edspira on Facebook, visit https://www.facebook.com/Edspira To sign up for the newsletter, visit http://Edspira.com/register-for-newsletter Edspira is the creation of Michael McLaughlin, who went from teenage homelessness to a PhD. The goal of Michael's life is to increase access to education so all people can achieve their dreams. To learn more about Michael's story, visit http://www.MichaelMcLaughlin.com To follow Michael on Twitter, visit https://twitter.com/Prof_McLaughlin To follow Michael on Facebook, visit https://www.facebook.com/Prof.Michael.McLaughlin
Views: 6871 Edspira
Subject:Commerce Paper:Corporate Legal Framework
Views: 1062 Vidya-mitra
Securities Contracts & Regulation Act, 1956
Securities Contracts (Regulation) Act, 1956. The Securities Contracts (Regulation) Act, 1956 also known as SCRA is an Act of the Parliament of India enacted to prevent undesirable exchanges in securities and to control the working of the stock exchange in India. It came into force on February 20, 1957.
Chapter 1 (SCRA Act, 1956) Securities Law New Syllabus
Quick revision of SCRA 1956
Views: 852 Shubhamm Sukhlecha
Securities Law (Intro)
This video is about Securities Law (Intro)
Views: 388 Jason Mance Gordon
Listing and delisting of securities and their implications (Law)
Subject : Law Paper: Corporate Law Content writer : Dr. Harpreet Kaur
Views: 10177 Vidya-mitra
Crowdfunding Laws, Rules and Regulations
https://www.manatt.com/Brian-S-Korn Brian Korn is a corporate and securities attorney at the law firm Manatt, Phelps & Phillips, LLP, and has had multiple appearances on Fox Business Television, Bloomberg, CCTV America and National Public Radio as an expert on the JOBS Act, including its impact on crowdfunding, peer-to-peer lending, IPOs and market trading dynamics. He has been published or quoted in Forbes, CNBC, MSNBC, New York Law Journal, Law360, Philadelphia Inquirer, Pittsburgh Post-Gazette, The Financier Worldwide and The Review of Securities & Commodities Regulation. He is the author of several articles on capital raising and investor liquidity, and has several clients in the peer-to-peer lending space. Brian is the author of “The Trouble with Crowdfunding” published in Forbes, as well as the Forbes article announcing the SEC’s crowdfunding rules proposal. Prior to joining Pepper, Brian was Head of Equity Capital Markets and Syndicate Compliance at Barclays and was Senior Vice President and Assistant General Counsel for Citigroup Global Markets Inc.Brian is an honors graduate of the University of California at Berkeley and the Northwestern University School of Law.
Views: 647 Fintech World
Ep #160: Your First Syndication, Securities Laws, Regulation D 506, Founding of Bootstrap Legal...
Our guest for this week’s show is Securities Attorney and founder of BootStrapLegal.com, Amy Wan.  Amy Wan, Esq., is Founder and Chief Legal Hacker at Bootstrap Legal, which provides software to allow real sponsors to draft their own syndication and fund documents. Previously, she was a Partner at Trowbridge Sidoti LLP (CrowdfundingLawyers.net) where she practiced crowdfunding and syndication law, and was General Counsel at Patch of Land, a real estate marketplace lending and crowdfunding platform. Amy is also Founder and Co-Organizer of Legal Hackers LA and served as a Presidential Management Fellow. Recommended Resources Check out our company and our investment opportunity by visiting www.SunriseCapitalInvestors.com Self Directed IRA Investment Opportunity – Click Here To Learn More About How You Can Invest With Us Through Your SDIRA Accredited Investors Click Here to learn more about partnering with me and my team on Mobile Home Park deals! Grab a free copy of my latest book “The 21 Biggest Mistakes Investors Make When Purchasing their First Mobile Home Park…and how to avoid them MobileHomeParkAcademy.com Schedule your free 30 minute "no obligation" call directly with Kevin by clicking this link https://www.timetrade.com/book/KV2D2
Views: 103 Kevin Bupp
What are Securities
Section 2 (h) of the Securities Contract (Regulation) Act, defines what is a security. More such videos subscribe to https://www.youtube.com/ekcelacademy Visit www.ekcelacademy.com For queries write to us at [email protected] Basic and important definitions as per the Companies Act, 2013. A useful resource for CS, CA, ICWA, CMA, Law Students. This definition is important for all subjects be it company law, tax laws, accounts, costing etc. This video has the definition presented in a simple and easy way to understand.
Securities Act of 1933
United States Congress enacted the Securities Act of 1933 (the 1933 Act, the Securities Act, the Truth in Securities Act, the Federal Securities Act, or the '33 Act, Title I of Pub. L. 73-22, 48 Stat. 74, enacted May 27, 1933, codified at 15 U.S.C. § 77a et seq.), in the aftermath of the stock market crash of 1929 and during the ensuing Great Depression. Legislated pursuant to the interstate commerce clause of the Constitution, it requires that any offer or sale of securities using the means and instrumentalities of interstate commerce be registered with the SEC pursuant to the 1933 Act, unless an exemption from registration exists under the law. "Means and instrumentalities of interstate commerce" is extremely broad, and it is virtually impossible to avoid the operation of this statute by attempting to offer or sell a security without using an "instrumentality" of interstate commerce. Any use of a telephone, for example, or the mails, would probably be enough to subject the transaction to the statute. The 1933 Act was the first major federal legislation to regulate the offer and sale of securities. Prior to the Act, regulation of securities was chiefly governed by state laws, commonly referred to as blue sky laws. When Congress enacted the 1933 Act, it left existing state securities laws ("blue sky laws") in place. The '33 Act is based upon a philosophy of disclosure, meaning that the goal of the law is to require issuers to fully disclose all material information that a reasonable shareholder would require in order to make up his or her mind about the potential investment. This is very different from the philosophy of the blue sky laws, which generally impose so-called "merit reviews." Blue sky laws often impose very specific, qualitative requirements on offerings, and if a company does not meet the requirements in that state then it simply will not be allowed to do a registered offering there, no matter how fully its faults are disclosed in the prospectus. Recently, however, NSMIA added a new Section 18 to the '33 Act which preempts blue sky law merit review of certain kinds of offerings. This video is targeted to blind users. Attribution: Article text available under CC-BY-SA Creative Commons image source in video
Views: 10210 Audiopedia
Securities Laws And Regulations
It is getting easier for small time investors to purchase stocks in the United States. Whether you are a small investor or a large investor, you are covered by federal securities laws. There are many important federal securities laws that govern all aspects of securities trading. There are also regulatory agencies such as the Securities and Exchange Commission (SEC) that issue regulations, investigate and make decisions regarding violations of security law. To learn more about securities laws and regulations visit http://www.lawinfo.com/securities.html
Views: 312 lawinfo
Securities Law Amendment - SEBI LODR 2018
Heyo Guys In this Video, We have discussed about the recent amendment in SEBI ( LODR ) 2018 which was presented in May 09, 2018 PDF can be downloaded from here https://goo.gl/Y1S1Ai Do watch the Complete Video, Like the Video & Share with your Friends. -S O C I A L M E D I A - 👈🏻I N S T A G R A M 👈🏻 P E R S O N E L https://www.instagram.com/lawgical_gu... O F F I C I A L https://www.instagram.com/tushar_paha... LIKE MY OFFICIAL FACEBOOK! 👈🏻 https://www.facebook.com/cstusharpaha... W E B S I T E👈🏻 cstusharpahade.com
Views: 3715 LAWgical GURUji
Securities law lecture 4
(for lectures in pen drive WhatsApp on 8554883071, or call on 9975171932)
Views: 1324 Shubhamm Sukhlecha
Perspectives on securities regulation: A conversation with SEC Chairman Jay Clayton
On Thursday, September 28, the Center on Regulation and Markets at Brookings hosted an event exploring the opportunities and challenges facing securities markets ten years after the financial crisis. https://www.brookings.edu/events/perspectives-on-securities-regulation/ (transcript available) Subscribe! http://www.youtube.com/subscription_center?add_user=BrookingsInstitution Follow Brookings on social media! Facebook: http://www.Facebook.com/Brookings Twitter: http://www.twitter.com/BrookingsInst Instagram: http://www.Instagram.com/brookingsinst LinkedIn: http://www.linkedin.com/com/company/the-brookings-institution
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Views: 21790 Deep Talks
What Is the Securities & Exchange Commission? Is It Effective? U.S. Finance
Within the SEC, there are five divisions. Headquartered in Washington, D.C., the SEC has 11 regional offices throughout the US. The SEC's divisions are:[10] Corporation Finance Trading and Markets Investment Management Enforcement Economic and Risk Analysis Corporation Finance is the division that oversees the disclosure made by public companies, as well as the registration of transactions, such as mergers, made by companies. The division is also responsible for operating EDGAR. The Trading and Markets division oversees self-regulatory organizations such as the Financial Industry Regulatory Authority (FINRA) and Municipal Securities Rulemaking Board (MSRB) and all broker-dealer firms and investment houses. This division also interprets proposed changes to regulations and monitors operations of the industry. In practice, the SEC delegates most of its enforcement and rulemaking authority to FINRA. In fact, all trading firms not regulated by other SROs must register as a member of FINRA. Individuals trading securities must pass exams administered by FINRA to become registered representatives.[11][12] The Investment Management Division oversees registered investment companies, which include mutual funds, as well as registered investment advisors. These entities are subject to extensive regulation under various federals securities laws.[13] The Division of Investment Management administers various federal securities laws, in particular the Investment Company Act of 1940 and Investment Advisers Act of 1940. This division's responsibilities include:[14] assisting the Commission in interpreting laws and regulations for the public and SEC inspection and enforcement staff; responding to no-action requests and requests for exemptive relief; reviewing investment company and investment adviser filings; assisting the Commission in enforcement matters involving investment companies and advisers; and advising the Commission on adapting SEC rules to new circumstances. The Enforcement Division works with the other three divisions, and other Commission offices, to investigate violations of the securities laws and regulations and to bring actions against alleged violators. The SEC generally conducts investigations in private. The SEC's staff may seek voluntary production of documents and testimony, or may seek a formal order of investigation from the SEC, which allows the staff to compel the production of documents and witness testimony. The SEC can bring a civil action in a U.S. District Court, or an administrative proceeding which is heard by an independent administrative law judge (ALJ). The SEC does not have criminal authority, but may refer matters to state and federal prosecutors. The director of the SEC's Enforcement Division Robert Khuzami left the office in February 2013.[15] Among the SEC's offices are: The Office of General Counsel, which acts as the agency's "lawyer" before federal appellate courts and provides legal advice to the Commission and other SEC divisions and offices; The Office of the Chief Accountant, which establishes and enforces accounting and auditing policies set by the SEC. This office has played a role in such areas as working with the Financial Accounting Standards Board to develop Generally Accepted Accounting Principles, the Public Company Accounting Oversight Board in developing audit requirements, and the International Accounting Standards Board in advancing the development of International Financial Reporting Standards; The Office of Compliance, Inspections and Examinations, which inspects broker-dealers, stock exchanges, credit rating agencies, registered investment companies, including both closed-end and open-end (mutual funds) investment companies, money funds. and Registered Investment Advisors; The Office of International Affairs, which represents the SEC abroad and which negotiates international enforcement information-sharing agreements, develops the SEC's international regulatory policies in areas such as mutual recognition, and helps develop international regulatory standards through organizations such as the International Organization of Securities Commissions and the Financial Stability Forum; The Office of Investor Education and Advocacy, which helps educate the public about securities markets and warns investors of fraud and stock market scams; The Office of Economic Analysis, which helps the SEC estimate the economic costs and benefits of its various rules and regulations; and The Office of Information Technology, which supports the Commission and staff in information technology, including application development, infrastructure operations. and engineering, user support, IT program management, capital planning, security, and enterprise architecture. The Inspector General. The SEC announced in January 2013 that it had named Carl Hoecker the new inspector general.[16][17] He has a staff of 22. https://en.wikipedia.org/wiki/U.S._Securities_and_Exchange_Commission
Views: 5826 Way Back
Securities Contract Regulation Act, 1956 I Practice Manual I SCRA I CA Final I NK calling I Scanner
To Buy Pen Drive Lectures, Video Classes, Books, Test Series etc. Video Classes – New Course. http://www.corporatestudies.org/product/corporate-and-economic-laws/ Old Course- http://www.corporatestudies.org/product/corporate-and-allied-laws-ca-final-classes/ CA Inter Law- http://www.corporatestudies.org/product/ca-inter-corporate-laws/ Practice manual- NK calling CA Final new/ course- http://www.corporatestudies.org/product/ca-final-corporate-economic-law-practice-manual-nk-calling/ CS Executive Company Law http://www.corporatestudies.org/product/c-s-executive-company-law/ For Any Information Video classes & Face To Face Batches Call 9818248595 & 9968491585 N k calling
Views: 377 N.K Singh Law
Lecture 20 : Securities Contracts Regulation Act, 1956 for SEBI Grade A
Lecture 20 : Securities Contracts Regulation Act, 1956 for SEBI Grade A PPT of the Lecture: https://drive.google.com/open?id=16Y5e1kSnmUt7ddALzHkRzIQnpxE47maS
Views: 2341 Sunny Gulve
SCRA | Securities Contracts Regulation Act | For Revision / 1st Time Both
SCRA | Securities Contracts Regulation Act | Quick Revision For November 2018 and onward #uttammodielearning Notes link: https://drive.google.com/file/d/10ECkLIcjeeT57Y8RKqt7DdDF2vl46z3w/view?usp=sharing #Audit #cafinal #financialreporting #sfm #uttammmodi #uttammodielearning Subscribe Uttam Modi E Learning: https://www.youtube.com/channel/UCUsNMP4Lc7qqZqya2gQsUGQ Follow us on Instagram: https://www.instagram.com/uttammodielearning/ Join our Telegram Group: https://t.me/joinchat/IfNLIUhHrcCsBKveLPGJSQ Email id : [email protected]
Series 7 Exam Session 2 - Securities Laws
Session 2 in our Series 7 exam videos. Provides an overview of the major securities laws covered in the exam. Get more answers at our forum for finance and accounting at passingscoreforum.com
Views: 57961 Passing Score
Securities Contract Regulation Act (SCRA) For CA Final May 19 exams by Darshan Khare Sir
His chapter contains the Securities Contract Regulation Act i.e SCRA for CA Final May 19 exams. Hope you all loved the same. Cover entire law for May 19 👇 from various renowned faculties. Pending chapter to be uploaded soon https://www.youtube.com/playlist?list=PLHUK5s4EiWRfvKo_nvUCsq71P3KlZ-j3v Audit MCQ sessions MCQ Session by Pankaj Garg Sir part-1 https://youtu.be/4lW8134hHYU Part-2 https://youtu.be/kwxhbsPly1M MCQ session on company audit by Sanidhya Saraf Sir https://youtu.be/GLRZlb7kV90 Telegram Channel- https://t.me/HappyCAs Telegram Group- https://t.me/joinchat/KIV6PFJ65AP1SUYk7h4rlg
Views: 913 HAPPY CA
Business Law and Regulation in the Roberts Court - Securities
September 16, 2010 "Business Law and Regulation in the Roberts Court" Case Western Reserve University School of Law Center for Business Law and Regulation Symposium Cleveland, Ohio
Saylor.org BUS205: "Federal Securities Regulation in the United States"
This video is a lecture used in BUS205 as part of our Business Administration area of study on http://www.saylor.org This work is licensed under a Creative Commons Attribution 3.0 Unported License. ( http://creativecommons.org/licenses/by/3.0/ ) List of Openly Licensed / Public Domain Assets Used: - The Wikipedia resource "List of Largest Daily Changes in the Dow Jones Industrial Average" is in the public domain. The original can be found here: http://en.wikipedia.org/wiki/List_of_largest_daily_changes_in_the_Dow_Jones_Industrial_Average - The definition of "Security" Under the 1933 Act is in the public domain. The original can be found here: http://www.sec.gov/about/laws/sa33.pdf - The image "Citrus Sinensis" is attributed to Jean-Pol Grandmont and is licensed under the Creative Commons Attribution-Share Alike 2.5 Generic license. The original can be found here: http://commons.wikimedia.org/wiki/File:Citrus_sinensis_JPG01.jpg
Views: 3922 Saylor Academy
Regulation 505 Securities Exemption
http://thebusinessprofessor.com/rule-505-securities-exemption/ Regulation 505 Securities Exemption
Views: 128 Jason Mance Gordon
CA Final G1-Securities  contracts Regulation Act(SCRA),1956 part1 on http://cakart.in video
Crack CA Final in the 1st attempt. Get India's best faculty video classes for best study at home. Give missed call @9980100288. International students - visit https://www.cakart.in and chat. A smart decision today can save you a lot of time (years) in your career. Give missed call @9980100288 now. This lecture sample from Ideal Classes covers the topic-SCRA from the subject - - Corporate and Allied Laws of CA Final G1 .For the Video Lecture + eBooks + Question bank package please visit http://www.cakart.in
Views: 5747 CA KART
Canadian Securities Law
Your source for information on securities law in Canada
Views: 189 Alex Colangelo
CPA Exam REG Securities Regulation Sample
Views: 221 CPA Adventure Guide
Lecture 31 : Securities Contracts Regulation Act, 1956 (part - 3) for SEBI Grade A
Lecture 31 : Securities Contracts Regulation Act, 1956 (part - 3) for SEBI Grade A PPT of the lecture: https://drive.google.com/open?id=11_Vnu9jN9Bg6GrKmQ9deHoBksSzLairV
Views: 1073 Sunny Gulve
Conducting Token Offerings in Compliance with US Securities Law
In this video, Josh Lawler, Partner at Zuber Lawler & Del Duca LLP provides a brief examination of current classification of tokens as “securities” as well as a description of an Exchange Offer structure in which a token issuer first issues tokens pursuant to Regulation D [Section symbol]506(c) as restricted securities, followed by an offering exempt from registration pursuant to Tier II of Regulation A+ in which the issuer may issue unrestricted securities in exchange for return of the restricted securities issued in the earlier Regulation D Offering. Josh Lawler's Biography: http://www.zuberlaw.com/lawfirm/attorney_biographies/josh_lawler_esq/0/ Josh Lawler's Article "Your ICO/TGE is subject to the US Securities laws; now what?" : http://www.zuberlaw.com/attorneys/articles/ZLD%20Whitepaper%20-%20Life%20Cycle%20of%20a%20Token%20as%20a%20Security.pdf ZLD's website: http://www.zuberlaw.com/
Amit Bachhawat - Fast Track Revision Cum Amendment Of Securities Law & Capital Market for CS Part-1
http://amitbachhawat.com/ https://www.facebook.com/amitbachhawat1
Views: 7050 Amit Bachhawat
Jonathan W. Evans & Associates - Securities Laws and Regulations
Visit http://www.stocklaw.com or call (800) 699-1881 to contact the experienced Los Angeles Securities Attorneys of Jonathan W. Evans & Associates. They represent individuals, trusts, IRAs, pension plans, and estates in securities arbitration cases against stockbrokers, brokerage firms, and investment advisers. Their goal is to recover as much of the client's losses as the specific facts of the case and the law allow. Although their office is in the Los Angeles area, they currently represent or have represented clients from numerous other states and at least six foreign countries. If you or someone you know anywhere needs the assistance of an experienced Los Angeles Securities Attorney, call Jonathan W. Evans & Associates today to schedule your free consultation.
Views: 288 JonathanWEvans
ICO Regulations Are Coming, Canada says many ICO Tokens are Securities and how it affects you!
Winter is coming in the form of ICO regulations and cryptocurrency is about to change, if it hasn't done so big time already! I walk through Canada's recently released regulatory documents on ICO's and what you need to know about them. While many of us (probably closer to all of us) hate the thought of regulation creeping into cryptocurrency, it's happening and likely sooner than you expect. It's best to be educated on what this ICO regulation is and how it will impact you as an investor in the future. If you haven already noticed increase KYC requirements for ICO's, you'll start to see it soon! Here's the article from CoinDesk: https://www.coindesk.com/canadian-regulators-many-ico-tokens-meet-securities-definition Buy Bitcoin, Ethereum and Litecoin on CoinBase and get $10 worth free: https://cryptobobby.com/coinbase Secure your Crypto with a Ledger Nano S: Amazon (faster shipping): https://cryptobobby.com/ledger-amazon Ledger (slower shipping, but cheaper): https://cryptobobby.com/ledger Follow me on Steemit: https://steemit.com/@cryptobobby Follow me on Twitter: https://twitter.com/crypto_bobby Join the Facebook Group: https://www.facebook.com/groups/140921189836895/ *Some of these links may be affiliate links, meaning if you click and purchase something, I may receive a small commission at no additional cost to you. I only recommend companies and products I personally use, and any commissions help to pay for content creation. Thanks! *
Views: 3335 Crypto Bobby
C A final Law I CS Executive capital Market I Securities Contract Regulation Act, 1956
C A final Law by N K Singh Securities Contract Regulation Act, 1956 Applicable for both CA final new course and old course students. To subscribe full course visit us at corporatestudies.org or call at 9818248595.
Views: 9292 N.K Singh Law
Corporate and Securities Law
Attorney Lloyd Freeman describes the field of corporate and securities law. Learn more about fields of law: http://discoverlaw.org/considering/fields-of-law.asp
Views: 7973 LSAC Diversity
M. Todd Henderson, "Abolish Securities Regulation (and Replace It With a Market)"
Our regulation of the stock market is based on an antiquated statute that does not fit well with the realities of modern securities practice. Corporations hoping to access public markets are required to disclose market-moving information without charge and to all investors simultaneously. This system of mandatory and simultaneous disclosure is designed to protect average, long-term investors, while ensuring that stock prices are accurate reflections of the value of the firms issuing them. But the regulations are premised on faulty assumptions about who is trading in today’s sophisticated, high-speed markets, and why they are trading. The regulation also encourages behavior that we know is socially suboptimal. The end result is regulation that purports to be about fairness for investors, but ends up harming the most vulnerable investors. In this talk, Professor Henderson will propose an alternative regulatory scheme—a market for corporate information—that will achieve fairer outcomes for investors at lower cost. M. Todd Henderson is the Michael J. Marks Professor of Law and Mark Claster Mamolen Research Scholar. This Chicago's Best Ideas talk was recorded on November 17, 2015.
The Future of the U.S. Securities Regulation with SEC Commissioner Michael Piwowar
An Evening with SEC Commissioner Michael S. Piwowar Join Murray Dalziel, Dean of the Merrick School Business and Ronald Weich, Dean of UB's Law School, as they welcome SEC Commissioner, Michael S. Piwowar for a dialogue on "The Future of the U.S. Securities Regulation." ABOUT THE SPEAKER Michael S. Piwowar, Ph.D. was first appointed to the SEC by President Barack Obama and was sworn in on August 15, 2013. Piwowar was designated Acting Chairman of the Commission by President Donald Trump from January 23, 2017, to May 4, 2017. Previously,Piwowar was the Republican chief economist for the U.S. Senate Committee on Banking, Housing, and Urban Affairs under Senators Mike Crapo (R-ID) and Richard Shelby (R-AL). He was the lead Republican economist on the four SEC-related titles of the Dodd-Frank Act and the JOBS Act. Piwowar also worked on a number of important SEC-related oversight issues under the jurisdiction of the Committee, such as securities, over-the-counter derivatives, investor protection, market structure, and capital formation. Piwowar received a B.A. in Foreign Service and International Politics from the Pennsylvania State University, an M.B.A. from Georgetown University, and a Ph.D. in Finance from the Pennsylvania State University.
Insider Trading explained
Jon Macey -- Sam Harris Professor of Corporate Law, Corporate Finance, and Securities Law at Yale Law School -- discusses insider trading and the competing views of the SEC and the U.S. Supreme Court.
Views: 7131 Yale Law School
Regulation D Securities Exemptions
http://thebusinessprofessor.com/regulation-d-securities-exemption/ Regulation D Securities Registration Exemptions
Views: 884 Jason Mance Gordon

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