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| 01639nam 2200301zi 4500 |
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001 | 9.884848 |
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003 | CaOODSP |
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005 | 20221107170956 |
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006 | m o d f |
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007 | cr |n||||||||| |
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008 | 200219e197510##quc|||| ob f00| 0|eng d |
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040 | |aCaOODSP|beng|erda|cCaOODSP |
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086 | 1 |aRG15-57/1975E-PDF |
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100 | 1 |aHoward, John L., |eauthor. |
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245 | 10|aSecurities regulation : |bstructure and process / |cJohn L. Howard. |
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264 | 1|a[Hull, Quebec] : |b[Department of Consumer and Corporate Affairs], |cOctober 1975. |
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300 | |a1 online resource (1 volume (various pagings)) |
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336 | |atext|btxt|2rdacontent |
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337 | |acomputer|bc|2rdamedia |
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338 | |aonline resource|bcr|2rdacarrier |
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500 | |aDigitized edition from print [produced by Innovation, Science and Economic Development Canada]. |
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504 | |aIncludes bibliographical references. |
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520 | |a"The purposes of this paper are generally to review a number of basic assumptions about the Canadian securities market and, more specifically, to explain the concept of economic regulation and its application to securities markets, to analysis alternative regulatory mechanisms, and to propose the means the federal government can employ to regulate the Canadian securities market if it decides that it should regulate that market"--Abstract. |
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650 | 0|aSecurities|zCanada|xRegulations. |
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650 | 6|aValeurs mobilières|zCanada|xRèglements. |
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710 | 1 |aCanada. |bConsumer and Corporate Affairs, |eissuing body. |
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856 | 40|qPDF|s2.98 MB|uhttps://publications.gc.ca/collections/collection_2021/isde-ised/RG15-57-1975-eng.pdf |
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