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The Sarbanes-Oxley Act of 2002, PL 107-204 described by some as the
most important and far-reaching securities legislation since
passage of the Securities Act of 1933, 15 USC 77a et seq, and the
Securities Exchange Act of 1934, 15 USC 78a et seq, both of which
were passed in the wake of the Stock Market Crash of 1929. The Act
establishes a new Public Company Accounting Oversight Board which
is to be supervised by the Securities and Exchange Commission. The
Act restricts accounting firms from performing a number of other
services for the companies which they audit. The Act also requires
new disclosures for public companies and the officers and directors
of those companies. Among the other issues affected by the new
legislation are securities fraud, criminal and civil penalties for
violating the securities laws and other laws, blackouts for insider
trades of pension fund shares, and protections for corporate
whistleblowers. This book contains important analyses on the impact
of this Act.
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