The articles in this book, first published in 1986, cover the
developments of the first three decades of the Securities Acts, and
examines appraisals of the U.S. Securities and Exchange Commission.
With the rise in interest in the evolution of regulatory policy,
these principal papers are key sources in the study of the history
of accounting. Written by accountants close to the Commission,
these papers will be of interest to accountants in public and
private practice, and all students of accounting and its government
regulation.
General
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