Skip to main content

Financial Derivatives: Actions Taken or Proposed Since May 1994

GGD/AIMD-97-8 Published: Nov 01, 1996. Publicly Released: Nov 01, 1996.
Jump To:
Skip to Highlights

Highlights

GAO conducted a follow-up review of the regulation of financial derivative products, focusing on actions taken or proposed since May 1994 to: (1) strengthen corporate governance and internal controls for derivatives dealers and major end-users; (2) improve regulation of major U.S. derivatives dealers; (3) provide federal oversight of major derivatives dealers that are unregulated affiliates of securities firms and insurance companies; (4) promulgate comprehensive and consistent accounting and disclosure requirements for derivatives; and (5) harmonize regulatory and accounting standards internationally.

Full Report

Media Inquiries

Sarah Kaczmarek
Managing Director
Office of Public Affairs

Topics

Accounting proceduresAuditing standardsBanking regulationDerivative securitiesInformation disclosureInternal controlsInternational economic relationsReporting requirementsRisk managementSecurities regulation