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Auditor Independence and Banking Regulation
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Finance Research Papers research papers
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This 10 page paper
discusses the banking industry's Regulation Q and SEC rule
S7-13-00, which attempts to ensure auditor independence
by prohibiting auditing firms to have other business
relationships with their audit clients. Both are seen as
being unnecessary in today's business environment and serving no
purpose aside from limiting the ability of affected firms to compete.
Bibliography lists 11 sources.
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Pages:
10
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Filename:CC6_KSaudInd2.wps |
Paper Title:
Auditor Independence and Banking Regulation
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