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Regulation of Financial Institutions – Fall 2015

Class Seventeen: October 22, 2014

We will start today’s class with the D.C. Circuit’s 2007 decision in Financial Planning Association v. SEC and along with the Executive Summary of a January 2011 SEC Study on Investment Advisers and Broker-Dealers. We will then turn to the Excerpt from Chapter Eleven on Trading Markets, with a discussion of the Gordon v. NYSE case (pages 756-64).