美国证券法解读 Understanding the Securities Laws
美国证券法律师斯多曼 Andrew Stoltmann
美国有价证券法官席 Banc of America Securities
美国证券交易法 Securities Exchange Act
The < Securities Act >of the United States; private offering ;“Requirement test”;“safe harbor”
美国证券法;私募发行;“需求标准”;“安全港”
参考来源 - 美国证券法下私募发行的界定标准·2,447,543篇论文数据,部分数据来源于NoteExpress
不过,对于那些试图放宽美国证券法的人而言,这并非最佳解释。
Perhaps this isn't the best mantra, however, for those who want to ease America's securities laws.
本文主要以美国证券法为借鉴对象来研究虚假陈述民事责任中的因果关系问题。
This paper mainly references the securities law of the United States to study the causal relations of civil tort liability of false statements.
八月美国证券和交易委员会(SEC)指控该州向市政债券投资者隐瞒资金不足真相,这还是第一次有一个州因违反联邦证券法而吃官司,不过,新泽西州对证券和交易委员会的裁决保留意见。
This was the first time a state had been charged with violating federal securities laws.
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