A portion of the Wall Street Reform and Consumer Protection Act of 2009. It extends the authority of the SEC and provides a reward for whistleblowers that expose fraud and increasing liability of those who aid and abet.
Related information about Investor Protection Act:
- Securities Investor Protection Act - Wikipedia, the free encyclopedia
The Securities Investor Protection Act of 1970 codified at 15 U.S.C. § 78aaa through 15 U.S.C. § 78lll, established the Securities Investor Protection Corporation ...
- Dissecting the Investor Protection Act
Jan 13, 2010 ... If passed by the Senate, key provisions in the Investor Protection Act will shake up SEC enforcement and operations.
- Analysis of Securities Investor Protection Act Coverage for Stanford ...
Under the Securities Investor Protection Act of 1970 (“SIPA”), the. Securities and Exchange Commission is responsible for exercising plenary authority over the ...
- Investor Protection Act of 2009 (2009; 111th Congress H.R. 3817 ...
Oct 15, 2009 ... Nov 04, 2009. H.R. 3817 (111th). To provide the Securities and Exchange Commission with additional authorities to protect investors from ...
- Investor Protection Act Definition | Investopedia
A component of the Wall Street Reform and Consumer Protection Act of 2009 designed to expand the powers of the Securities and Exchange Commission ...
- SIPC - Securities Investor Protection Corporation
Please note that you can fill out a claim form only if your broker-dealer is in liquidation under the Securities Investor Protection Act. You can't file your SIPC claim ...
- Investor Protection Act of 2009
Jul 13, 2009 ... On July 10, 2009, the Treasury Department released the proposed Investor Protection Act of 2009 (the “Act”), which would, if enacted, ...
- The “Investor Protection” Act–Creating Uncertainty to Benefit Trial ...
Oct 26, 2009 ... Only government can take perfectly good paper, cover it with perfectly good ink and make the combination worthless.” --Milton Friedman ...