4L. Paul Hsueh & David S. Kidwell, Bond Ratings: Are Two Better Than One? Financial Management, Vol.17, 1988, pp. 46-53.
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6Francis A. Bottini, Jr., An Examination of the Current Status of Rating Agencies and Proposals for Limited Oversight of Such Agencies, San Diego Law Review, Vol.30, 1993, pp.615-619.
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8Rule 15c3-1 under the Securities Exchange Act of 1934-Net Capital Requirements for Brokers or Dealers, 40 FR 29799, July 16, 1975.
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10Financial Oversight of Enron: the SEC and Private-Sector Watchdogs, U.S. Securities and Exchange Commission, October 8, 2002.