MCA: Clarification of Sec. 180 of the Companies Act, 2013Print this
SEC RSS Feed (opens in new window) Select year:Filter filing type: DateFiling TypeFiling DescriptionDownload / View January 22, 2025 Form13F-HR Form 13F Holdings Report pdf Format Download (opens in new window) excel Format Download (opens in new window)...
The BOl reporting deadline for existing companies is approaching quickly. Existing companies (those formed before January 1, 2024) have less than four months to fulfill their beneficial ownership information (BOl) reporting obligations. Under the Corporate Transparency Act (CTA), millions of… ...
— Predominantly monetized on its own 91,180 13,429 865,892 127,532 Total 5,517,095 812,580 Amortization expense of RMB2,228,522 (US$328,225) and R MB837,583 (US$123,363) was recognized as cost of revenues in the condensed consolidated statement of comprehensive loss for the...
"Investors get to decide which risks they want to take so long as companies raising money from the public make ... 'complete and truthful disclosure,'" Gensler said in a written statement following the vote. "Over the last 90 years, the SEC has updated, from time to time, the disclosure...
Registration | Medical Device Registration | GMP | Schedule B Classification | Quota restrictions | Anti-Dumping | Countervailing Duties | ECCN | SNAP-R | OFAC | Lacey Act | NAFTA | FTA | C-TPAT | import labeling | Document declarations | Lacey Act | ...
1See our November 8, 2021, client alert “SEC Approves PCAOB Rule Establishing Framework for Determinations Under the Holding Foreign Companies Accountable Act” for additional information about the PCAOB’s determination process. 2If a public company’s annual report ...
SEC Approves Issuance of Releases Relating to Use of Derivatives by Investment Companies Regulated Under the Investment Company Act, Treatment of Asset-Bac... PB Raymond,CA Sweet 被引量: 0发表: 0年 Method for managing an investment company Funds are received into an investment company from ...
was appointed the first chair. During its early years, the SEC played a major part in the rollout of the financial reforms of President Franklin D. Roosevelt's New Deal. The Investment Company Act of 1940 and Investment Advisers Act of 1940 expanded the SEC's regulatory...
The case centered on George Jarkesy, ahedge fund manageraccused of securities fraud. Before the Dodd-Frank Act, the SEC could only pursue administrative proceedings against entities it directly regulated, such as broker-dealers and investment advisers. Dodd-Frank expanded the agency's authority, allo...