SEC Pushes To Beef Up Broker-Dealer Custody Rules
By Evan Weinberger ( December 7, 2010, 12:27 PM EST) -- The U.S. Securities and Exchange Commission is considering new rules that would force broker-dealers to provide more information to regulators in a bid to boost their accountability for clients' assets among other changes for accountants and custodians....
Law360 is on it, so you are, too.
A Law360 subscription puts you at the center of fast-moving legal issues, trends and developments so you can act with speed and confidence. Over 200 articles are published daily across more than 60 topics, industries, practice areas and jurisdictions.
A Law360 subscription includes features such as
- Daily newsletters
- Expert analysis
- Mobile app
- Advanced search
- Judge information
- Real-time alerts
- 450K+ searchable archived articles
And more!
Experience Law360 today with a free 7-day trial.