Autor: |
ARGON, GAYLE, LITTLE, GREG, PELL, OWEN |
Předmět: |
|
Zdroj: |
Financial Fraud Law Report; Oct2013, Vol. 5 Issue 9, p839-847, 9p |
Abstrakt: |
The article focuses on the U.S. Dodd-Frank Act which amended the Securities Exchange Act of 1934 to help Securities and Exchange Commission (SEC) to enforce the law. It features several U.S. Supreme Court cases which analyzed the whistleblower-protection provision of Dodd-Frank, which include the Asadi v. G.E. Energy (USA), LLC and Murray v. UBS Securities, LLC and UBS AG. It adds that the decisions on the cases incentivizes employees to go to SEC to bypass internal reporting they have done. |
Databáze: |
Complementary Index |
Externí odkaz: |
|