ANALYSIS OF THE SEC V BANK OF AMERICA
Analysis of the Sec v Bank of America The Security Exchange Commission (SEC) on August 3 2009 brought charges against the Bank of America for violating Section 14(a) of the Security Exchange Act of 1934 and rules 14a-3 and 14a-9 for the failure of the bank to disclose, in proxy materials soliciting the shareholders’ approval for the merger. The charges also included the authorization by […]