Institutional Investors Full Disclosure Act : hearings before the Subcommittee on Securities of the Committee on Banking, Housing and Urban Affairs, United States Senate, Ninety-third Congress, second session on S. 2234, to amend the Securities Exchange Act of 1934 to provide for the collection and public dissemination of information concerning the holdings of and transactions in securities by institutional investors, including banks, bank holding companies, insurance companies, trust companies, investment advisers, investment companies, separate accounts, dealers, pension-benefit or profit-sharing trusts and plans, charitable endowment funds, and other funds maintained or utilized for the purpose of collective investment : S. 2683, to amend the Securities Exchange Act of 1934, as amended, to facilitate, the collection and public dissemination of information concerning the holdings of and transactions in securities by institutional investors and investment managers, including banks, bank holding companies, insurance companies, trust companies, investment advisors, investment companies, separate accounts, pension-benefit or profit-sharing trust plans, charitable endowment funds, and any other fund maintained or utilized for the purpose of collective investment, August 13 and 14, 1974.
1974
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Title
Institutional Investors Full Disclosure Act : hearings before the Subcommittee on Securities of the Committee on Banking, Housing and Urban Affairs, United States Senate, Ninety-third Congress, second session on S. 2234, to amend the Securities Exchange Act of 1934 to provide for the collection and public dissemination of information concerning the holdings of and transactions in securities by institutional investors, including banks, bank holding companies, insurance companies, trust companies, investment advisers, investment companies, separate accounts, dealers, pension-benefit or profit-sharing trusts and plans, charitable endowment funds, and other funds maintained or utilized for the purpose of collective investment : S. 2683, to amend the Securities Exchange Act of 1934, as amended, to facilitate, the collection and public dissemination of information concerning the holdings of and transactions in securities by institutional investors and investment managers, including banks, bank holding companies, insurance companies, trust companies, investment advisors, investment companies, separate accounts, pension-benefit or profit-sharing trust plans, charitable endowment funds, and any other fund maintained or utilized for the purpose of collective investment, August 13 and 14, 1974.
Published
Washington : U.S. Government Printing Office, 1974.
Distributed
[Getzville, New York] : William S. Hein & Company, [2017]
Call Number
INTERNET
Description
1 online resource (iv, 285 pages) : illustrations.
System Control No.
(NjRocCCS)ccn00821255
GPO Item No.
1035
Bibliography, etc. Note
Includes bibliographical references.
Digital File Characteristics
text file
Source of Description
Description based on PDF title page, viewed August 1, 2017.
Available in Other Form
Original (DLC) 74602952
Record Appears in
Government Document Classification Number
Y 4.B 22/3:IN 8/13