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US regulation for asset managers outside the United States (Second edition)

Anderberg, Karen(Consultant editor)Murphy, Jack(Consultant editor)Vaughan, David(Consultant editor)
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This new edition covers all aspects of US regulation that affect investment management firms, broker dealers and their advisers outside the United States.

This encompasses not only SEC regulation, but also CFTC and ERISA aspects, and the text will also deal with aspects of broker dealer legislation and regulation that impacts on investment management work.

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Product Details
Sweet & Maxwell
0414031962 / 9780414031968
Paperback / softback
22/09/2017
United Kingdom
English
1 volume
Professional & Vocational Learn More