Broker-dealers need to respond to recent focus on cybersecurity threats
Year of publication: |
2014
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Authors: | Petron, David ; Wolk, Michael ; McNicholas, Edward |
Published in: |
The journal of investment compliance. - Bingley : Emerald, ISSN 1528-5812, ZDB-ID 2278191-2. - Vol. 15.2014, 2, p. 29-32
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Subject: | USA | Securities and Exchange Commission (SEC) | Financial Industry Regulatory Authority (FINRA) | Broker-dealer | Policies and procedures | Cybersecurity | United States | Finanzmarktregulierung | Financial market regulation | Finanzmarktaufsicht | Financial supervision | Datensicherheit | Data security | Börse | Bourse | IT-Kriminalität | IT crime |
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