Chet Helck on The Investment Adviser Oversight Act of 2012
Published on:
June 5, 2012
Committee:
Testimony of Chet Helck, Chairman-Elect, SIFMA and CEO, Global Private Client Group, Raymond James Financial, Inc. before the U.S. House Financial Services Committee for the hearing on H.R. 4624, The Investment Adviser Oversight Act of 2012.