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| Monday, Oct. 13, 2008 |
DEFINITION
FIND A SECURITIES LAWYER IN YOUR AREA.
More information on Securities
RELATED PRACTICE AREAS
Business & Commercial Law
Banking & Finance Law
Antitrust & Trade Regulation
White-Collar Crime
BUZZWORDS
10-K - The name of the annual financial report required by the SEC of all publicly held corporations.
10-Q - A quarterly report that must be filed with the SEC by any company whose securities are traded on a national or over-the-counter market.
Blue Sky Laws - State statutes establishing standards for offering and selling securities. The purpose of these laws is to protect citizens from investing in fraudulent companies.
Bond - A long-term, interest-bearing debt instrument that is issued by a corporation or government entity.
Certificate of Deposit (CD) - A bank document that evidences the existence of a time deposit that normally pays interest.
Insider Trading - Transactions in shares of publicly held corporations by persons with inside or advance information on which the trading is based.
Securities and Exchange Commission (SEC) - The five-member board appointed by the president that regulates and oversees stock trading and enforces federal securities statutes.
Securities Act of 1933 - The federal securities act regulating the initial public offering (IPO) of securities. (15 U.S.C. Sec. 77)
Securities Act of 1934 - The federal securities act regulating the public trading of securities. This legislation established the Securities and Exchange Commission. (15 U.S.C. Sec. 78)
Shareholder - A person who owns stock in a corporation with certain legal rights attached.
Stock - Part of a corporation's capital, represented by the number of shares that one owns, granting the holder the right to participate in the company's general management and to share in its net earnings.
Venture Capital - Funding for new companies or others embarking on new ventures that entails some investment risk but offers the potential for above-average future profits.