Description Securities Law in Unites States
Securities law business in the United States regulates the issuance, trading, and enforcement of securities to protect investors and ensure market integrity. Governed primarily by the Securities Act of 1933 and the Securities Exchange Act of 1934, it requires companies to disclose financial information and prohibits fraudulent activities. The Securities and Exchange Commission (SEC) oversees compliance, reviews filings, and enforces regulations. This legal sector involves advising corporations on public offerings, compliance, mergers, and insider trading issues. It also includes litigation and regulatory defense, ensuring transparent capital markets that foster investor confidence and efficient capital formation. B2B data includes decision-makers names, phone numbers, emails, business names, full addresses (street, city, state, ZIP), websites, and social media links – helping connect with businesses for sales, partnerships, and other professional opportunities.
Features Securities Law in Unites States
| Category | Professional Services |
|---|---|
| Country | |
| Leads Type | Business |
| Format | Excel (XLSX) |
| Columns | 18 |
| Rows | 25 (DEMO) |



