Reports and Testimonies - Browse by topic
Securities regulation (1 - 10 of 77 items)
Dodd-Frank Act Regulations:
Implementation Could Benefit from Additional Analyses and Coordination
Published: Nov 10, 2011. Publicly Released: Nov 10, 2011.
Regulators Will Need More Comprehensive Information to Fully Monitor Compliance with New Restrictions When Implemented
Published: Jul 13, 2011. Publicly Released: Jul 13, 2011.
New Regulatory Challenges Could Emerge as the Industry Grows
Published: Jul 7, 2011. Publicly Released: Jul 7, 2011.
Recent Crisis Reaffirms the Need to Overhaul the U.S. Regulatory System
Published: Sep 29, 2009. Publicly Released: Sep 29, 2009.
Recent Actions Appear to Have Initially Reduced Failures to Deliver, but More Industry Guidance Is Needed
Published: May 12, 2009. Publicly Released: Jun 3, 2009.
Overview of Regulatory Oversight, Counterparty Risks, and Investment Challenges
Published: May 7, 2009. Publicly Released: May 7, 2009.
Securities and Exchange Commission:
Oversight of U.S. Equities Market Clearing Agencies
Published: Feb 26, 2009. Publicly Released: Mar 26, 2009.
Review of Regulators' Oversight of Risk Management Systems at a Limited Number of Large, Complex Financial Institutions
Published: Mar 19, 2009. Publicly Released: Mar 19, 2009.
Bank Secrecy Act:
Federal Agencies Should Take Action to Further Improve Coordination and Information-Sharing Efforts
Published: Feb 12, 2009. Publicly Released: Mar 16, 2009.
Regulatory Oversight and Recent Initiatives to Address Risk Posed by Credit Default Swaps
Published: Mar 5, 2009. Publicly Released: Mar 5, 2009.