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The Madoff investment securities fraud regulatory and oversight concerns and the need for reform : hearing before the Committee on Banking, Housing, and Urban Affairs, United States Senate, One Hundred Eleventh Congress, first session, on how the securities regulatory system failed to detect the Madoff investment securities fraud, the extent to which securities insurance will assist defrauded victims, and the need for reform, January 27, 2009

Electronic resources

Record details

  • Physical Description: electronic resource
    remote
    1 online resource (iv, 147 pages)
  • Publisher: Washington : U.S. G.P.O., 2009.

Content descriptions

General Note:
FDLP Pilot Project record.
Paper version available for sale by the Supt. of Docs., U.S. G.P.O.
Title from title screen (viewed on Nov, 2, 2009).
Bibliography, etc. Note: Includes bibliographical references.
Subject: Madoff, Bernard L
United States. Securities and Exchange Commission Rules and practice
Financial Industry Regulatory Authority Rules and practice
Securities Investor Protection Corporation Rules and practice
Investment advisors Corrupt practices United States
Ponzi schemes United States
Securities fraud United States Prevention
Madoff investment securities fraud
Madoff investment securities fraud

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Showing Item 1 of 1