1. Investment Co. Institute v. Camp, No. 61, SUPREME COURT OF THE UNITED STATES, December 15, 1970, Argued , April 5, 1971, Decided ** Together with No. 59, National Association of Securities Dealers, Inc. v. Securities and Exchange Commission et al., argued December 14-15, 1970, also on certiorari to the same court.
OVERVIEW: The Comptroller of the Currency's authorization for a national bank to offer customers the opportunity to invest in a stock fund created and maintained by bank was prohibited by the Glass-Steagall Banking Act of 1933.
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