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U.S Code last checked for updates: Nov 22, 2024
All Titles
Title 15
Chapter 98
Subchapter I
§ 7219. Funding...
Subchapter II - AUDITOR INDEPEND...
§ 7219. Funding...
Subchapter II - AUDITOR INDEPEND...
U.S. Code
Notes
§ 7220.
Definitions
For the purposes of this subchapter, the following definitions shall apply:
(1)
Audit
(2)
Audit report
The term “audit report” means a document, report, notice, or other record—
(A)
prepared following an audit performed for purposes of compliance by an issuer, broker, or dealer with the requirements of the securities laws; and
(B)
in which a public accounting firm either—
(i)
sets forth the opinion of that firm regarding a financial statement, report, notice, or other document, procedures, or controls; or
(ii)
asserts that no such opinion can be expressed.
(3)
Broker
(4)
Dealer
(5)
Professional standards
The term “professional standards” means—
(A)
accounting principles that are—
(i)
established by the standard setting body described in
section 77s(b) of this title
, as amended by this Act, or prescribed by the Commission under
section 77s(a) of this title
or
section 78m(b) of this title
; and
(ii)
relevant to audit reports for particular issuers, brokers, or dealers, or dealt with in the quality control system of a particular registered public accounting firm; and
(B)
auditing standards, standards for attestation engagements, quality control policies and procedures, ethical and competency standards, and independence standards (including rules implementing title II) that the Board or the Commission determines—
(i)
relate to the preparation or issuance of audit reports for issuers, brokers, or dealers; and
(ii)
are established or adopted by the Board under
section 7213(a) of this title
, or are promulgated as rules of the Commission.
(6)
Self-regulatory organization
(
Pub. L. 107–204, title I, § 110
, as added
Pub. L. 111–203, title IX, § 982(a)(1)
,
July 21, 2010
,
124 Stat. 1927
.)
cite as:
15 USC 7220
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