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The U.S. Securities and Exchange Commission: An Introduction for Accountants Thomas I. Selling PhD, CPA tom.selling@albseminars.com 602-228-4871 ©Accounting, Law & Business Seminars, Inc., 2002
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2 www.albseminars.com Note to Readers This is a sample of self-study CPE you will be able to access. This sample does not contain the complete presentation, nor the accompanying voice narration.
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3 www.albseminars.com Modules 1. SEC: Its Roots 2. Organization and Activities of the SEC 3. The Integrated Disclosure System 4. Principle Forms of the IDS 5. Overview Regulation S-X and related interpretive guidance 6. Overview of Regulation S-K and related interpretive guidance
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4 www.albseminars.com The SEC: It’s Roots Agency Established by ’34 Act Independent of executive branch Non-partisan Regulatory Brings administrative proceedings
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5 www.albseminars.com Brief History of Federal Securities Laws Centuries of prior regulation in UK State securities laws The Great Depression Development of US and Global Capital Markets
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6 www.albseminars.com Securities Act of 1933 Sales of securities through the mail or interstate commerce Registration and prospectus deliver requirements Significant exemptions from registration Accountants liability Accounting requirements Independence of auditors
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7 www.albseminars.com Details on ’33 Act Here
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8 www.albseminars.com Securities Exchange Act of 1934 Continuous reporting buy public companies Proxy soliciations Tender offer solicitations Insider trading Margin trading Regulation of exchanges, OTC markets, brokers and dealers
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9 www.albseminars.com Details on ’34 Act Here
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10 www.albseminars.com End of Sample
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