Hearing entitled “Ensuring Appropriate Regulatory Oversight of Broker-Dealers and Legislative Proposals to Improve Investment Adviser Oversight”
Tuesday, September 13, 2011 | 10:00 |
Printed Hearing 112-58 H.R. ____, "Investment Adviser Oversight Act of 2011" Opening Statement of Representative Hinojosa WITNESS LIST
************* Statement for the Record submitted by The American College Statement for the Record submitted by the American Council of Life Insurers (ACLI) Statement for the Record submitted by the Bond Dealers of America (BDA) Statement for the Record submitted by the Financial Planning Coalition Statement for the Record submitted by the Financial Services Roundtable Statement for the Record submitted by the Investment Company Institute (ICI) Statement for the Record submitted by the Managed Funds Association (MFA) "Protecting Investors—Establishing the SEC Fiduciary Duty Standard" (AARP Research Report) |