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Assessing the limitations of the Securities Investor Protection Act : hearing before the Subcommittee on Capital Markets, Insurance, and Government Sponsored Enterprises of the Committee on Financial Services, U.S. House of Representatives, One Hundred Eleventh Congress, second session, September 23, 2010.

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Available copies

  • 1 of 1 copy available at Evergreen Indiana.

Current holds

0 current holds with 1 total copy.

Location Call Number / Copy Notes Barcode Shelving Location Status Due Date
Indiana State Library - Indianapolis ISLM Y 4.F 49/20:111-158 (Text) 19064517 Online document Available -

Record details

  • Physical Description: 1 online resource (v, 165 pages)
  • Publisher: Washington : U.S. G.P.O., 2011.

Content descriptions

General Note:
Paper version available for sale by the Supt. of Docs., U.S. G.P.O.
"Serial no. 111-158."
Bibliography, etc. Note:
Includes bibliographical references.
Source of Description Note:
Title from title screen (viewed on Apr. 13, 2011).
Subject: Securities fraud > United States > Prevention.
Investment advisors > Legal status, laws, etc. > United States.
Stockbrokers > Legal status, laws, etc. > United States.
Securities Investor Protection Corporation.
United States. Securities Investor Protection Act of 1970.

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