Title: | Improving the corporate governance of the New York Stock Exchange : hearing before the Committee on Banking, Housing, and Urban Affairs, United States Senate, One Hundred Eighth Congress, first session, on broker-dealer self-regulation and regulatory autonomy with market sensitivity, November 20, 2003. |
Author: | United States. Congress. Senate. Committee on Banking, Housing, and Urban Affairs |
Note: | U.S. G.P.O. :, 2005 |
Link: | page images at HathiTrust |
No stable link: | This is an uncurated book entry from our extended bookshelves, readable online now but without a stable link here. You should not bookmark this page, but you can request that we add this book to our curated collection, which has stable links. |
Subject: | Conflict of interests -- United States |
Subject: | Corporate governance -- United States |
Subject: | New York Stock Exchange |
Subject: | Stockbrokers -- United States |
Other copies: | Look for editions of this book at your library, or elsewhere. |
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