By J. Alan Bannister, Hillary Holmes and James Moloney ( December 5, 2022, 2:33 PM EST) -- Following the U.S. Securities and Exchange Commission's recent interpretation of Rule 15c2-11 under the Securities Exchange Act, issuers of fixed-income securities, including those initially offered and sold to investors in reliance on registration exemptions under the Securities Act — most notably Rule 144A — will be required to publicly disclose specified current financial and other information in order to allow U.S.-regulated broker-dealers to publish quotations on such securities....
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