Anti-Manipulation Rules Concerning Securities Offerings

Anti-Manipulation Rules Concerning Securities Offerings


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About The Event

This training program will examine key information about the characteristics of securities, securities markets, and securities fraud. It will update attendees on the development of securities regulation in the United States.

Why Should You Attend:
The concept or act of securities fraud manipulation, and/or deception has been around for decades in the United States. This course will discuss key points to prevent such fraud. In 2010 the Commodity Futures Trading Commission (CFTC) and the Securities and Exchange Commission (SEC) proposed defining new rules for the securities industry.

Who Will Benefit:
Bank and financial institution auditors
Controllers and corporate managers
Forensic and management accountants, accounts payable, and financial analysts
Governance, risk management and compliance officers
Internal and external auditors, CPAs and CAs

Instructor Profile:
Craig Taggart has almost a decade of experience in the fields of mergers and acquisitions and business financing. Mr. Taggart works strategically with his clients to achieve the highest value for their business within the capital markets. His experience with BCC Capital Partners in the M&A industry has greatly contributed to his understanding of transaction structure, strategic placement of buyers, and the attainment of maximum market value for his clients.

Use coupon code 232082 and get 10% off on registration.

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