Abstract
This white paper evaluates investor protection mechanisms in the securities regulatory regime at the time the Madoff fraud was exposed. It considers whether the post-Madoff call for additional regulation of hedge funds and/or their managers - and/or their respective activities - was warranted.
| Original language | American English |
|---|---|
| DOIs | |
| State | Published - Mar 2009 |
Keywords
- investment advisers
- securities regulation
- Madoff fraud
- post-Madoff
Disciplines
- Accounting
- Banking and Finance Law
- Securities Law
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