-
1
-
-
0042187608
-
-
New York
-
Although at the time, these events received considerable attention from journalists and government officials historians have tended to overlook them. Robert Sobel does discuss the paperwork crisis in N.Y.S.E.: A History of the New York Stock Exchange, 1935-1975 (New York 1975) but the focus of his work is elsewhere, on the ups and downs of the market and on government regulation. In his history of the Securities and Exchange Commission, The Transformation of Wall Street: A History of the Securities and Exchange Commission and Modern Corporate Finance (Boston, 1982), Joel Seligman provides a good overview of the situation. Because the SEC is the focus of his book, however, he does not examine in any detail how the crisis affected the exchanges or securities firms.
-
(1975)
N.Y.S.E.: A History of the New York Stock Exchange, 1935-1975
-
-
Sobel Robert1
-
2
-
-
0003750876
-
-
Boston
-
Although at the time, these events received considerable attention from journalists and government officials historians have tended to overlook them. Robert Sobel does discuss the paperwork crisis in N.Y.S.E.: A History of the New York Stock Exchange, 1935-1975 (New York 1975) but the focus of his work is elsewhere, on the ups and downs of the market and on government regulation. In his history of the Securities and Exchange Commission, The Transformation of Wall Street: A History of the Securities and Exchange Commission and Modern Corporate Finance (Boston, 1982), Joel Seligman provides a good overview of the situation. Because the SEC is the focus of his book, however, he does not examine in any detail how the crisis affected the exchanges or securities firms.
-
(1982)
The Transformation of Wall Street: A History of the Securities and Exchange Commission and Modern Corporate Finance
-
-
-
3
-
-
0043189702
-
Reducing costs of incomplete stock transactions: A study of alternative trade completion systems
-
Rand Corporation, mimeo.
-
R. L. Petruschell et al., "Reducing Costs of Incomplete Stock Transactions: A Study of Alternative Trade Completion Systems" (Rand Corporation, 1969), mimeo., NYSE Archives, 209-210.
-
(1969)
NYSE Archives
, pp. 209-210
-
-
Petruschell, R.L.1
-
4
-
-
0041686909
-
-
For a general history of the stock market during these years, see Sobel, N.Y.S.E.; for figures on stock ownership, see the New York Times, 22 March 1971, 49.
-
N.Y.S.E.
-
-
Sobel1
-
5
-
-
0004185304
-
-
22 March
-
For a general history of the stock market during these years, see Sobel, N.Y.S.E.; for figures on stock ownership, see the New York Times, 22 March 1971, 49.
-
(1971)
New York Times
, pp. 49
-
-
-
8
-
-
0042187613
-
-
U.S. Congress, Senate Committee on Banking, Housing, and Urban Affairs, Securities Industry Study. Report, 92nd Cong., 2nd sess., 1972, 75.
-
(1972)
Securities Industry Study. Report, 92nd Cong., 2nd Sess.
, pp. 75
-
-
-
9
-
-
0043189662
-
-
15 July
-
Forbes, 15 July 1970, 47-48.
-
(1970)
Forbes
, pp. 47-48
-
-
-
10
-
-
0043189660
-
Study of unsafe and unsound practices of brokers and dealers
-
92nd Cong., 1st sess.
-
Securities and Exchange Commission (SEC), Study of Unsafe and Unsound Practices of Brokers and Dealers, Report to the Committee on Interstate and Foreign Commerce of the U.S. Congress, 92nd Cong., 1st sess., 1971, 18.
-
(1971)
Report to the Committee on Interstate and Foreign Commerce of the U.S. Congress
, pp. 18
-
-
-
11
-
-
0041686900
-
-
28 July
-
Wall Street Journal, 28 July 1970, 1, 14; Arthur M. Louis, "Ross Perot Moves," Fortune, July 1971, 115; Carol Loomis, "The Unbelievable Last Months of Hayden Stone," Fortune, January 1971, 154; weekly summary of duPont operations visits, 4-11 Dec. 1970, SEC records, obtained under Freedom of Information Act (FOIA), in author's possession; Sidney M. Robbins et al., "Paper Crisis in the Securities Industry: Causes and Cures" (Lybrand, Ross Bros. & Montgomery, 1969), 53, mimeo., NYSE Archives.
-
(1970)
Wall Street Journal
, vol.1
, pp. 14
-
-
-
12
-
-
0042187573
-
Ross Perot moves
-
July
-
Wall Street Journal, 28 July 1970, 1, 14; Arthur M. Louis, "Ross Perot Moves," Fortune, July 1971, 115; Carol Loomis, "The Unbelievable Last Months of Hayden Stone," Fortune, January 1971, 154; weekly summary of duPont operations visits, 4-11 Dec. 1970, SEC records, obtained under Freedom of Information Act (FOIA), in author's possession; Sidney M. Robbins et al., "Paper Crisis in the Securities Industry: Causes and Cures" (Lybrand, Ross Bros. & Montgomery, 1969), 53, mimeo., NYSE Archives.
-
(1971)
Fortune
, pp. 115
-
-
Louis, A.M.1
-
13
-
-
0042187569
-
The unbelievable last months of Hayden Stone
-
January
-
Wall Street Journal, 28 July 1970, 1, 14; Arthur M. Louis, "Ross Perot Moves," Fortune, July 1971, 115; Carol Loomis, "The Unbelievable Last Months of Hayden Stone," Fortune, January 1971, 154; weekly summary of duPont operations visits, 4-11 Dec. 1970, SEC records, obtained under Freedom of Information Act (FOIA), in author's possession; Sidney M. Robbins et al., "Paper Crisis in the Securities Industry: Causes and Cures" (Lybrand, Ross Bros. & Montgomery, 1969), 53, mimeo., NYSE Archives.
-
(1971)
Fortune
, pp. 154
-
-
Loomis, C.1
-
14
-
-
0041686897
-
-
weekly summary of duPont operations visits, 4-11 Dec. 1970, SEC records, obtained under Freedom of Information Act (FOIA), in author's possession, Lybrand, Ross Bros. & Montgomery, mimeo., NYSE Archives
-
Wall Street Journal, 28 July 1970, 1, 14; Arthur M. Louis, "Ross Perot Moves," Fortune, July 1971, 115; Carol Loomis, "The Unbelievable Last Months of Hayden Stone," Fortune, January 1971, 154; weekly summary of duPont operations visits, 4-11 Dec. 1970, SEC records, obtained under Freedom of Information Act (FOIA), in author's possession; Sidney M. Robbins et al., "Paper Crisis in the Securities Industry: Causes and Cures" (Lybrand, Ross Bros. & Montgomery, 1969), 53, mimeo., NYSE Archives.
-
(1969)
Paper crisis in the securities industry: Causes and cures
, pp. 53
-
-
Robbins, S.M.1
-
15
-
-
0041686900
-
-
28 July
-
Wall Street Journal, 28 July 1970, 1, 14.
-
(1970)
Wall Street Journal
, vol.1
, pp. 14
-
-
-
17
-
-
0041686907
-
-
part 4, 92nd Cong., 1st sess.
-
U.S. Congress, Senate Subcommittee on Banking of the Committee on Banking, Housing, and Urban Affairs, Securities Industry Study, part 4, 92nd Cong., 1st sess., 1971, 220.
-
(1971)
Securities Industry Study
, pp. 220
-
-
-
18
-
-
0043189706
-
-
15 Oct. sec. 3
-
New York Times, 15 Oct. 1967, sec. 3, 1, 18.
-
(1967)
New York Times
, vol.1
, pp. 18
-
-
-
20
-
-
0041686858
-
-
15 July
-
Forbes, 15 July 1970, 47-48.
-
(1970)
Forbes
, pp. 47-48
-
-
-
21
-
-
0042187612
-
-
31 Dec.
-
New York Times, 31 Dec. 1970, 29, 31.
-
(1970)
New York Times
, vol.29
, pp. 31
-
-
-
24
-
-
0043189705
-
-
Report on Goodbody & Co., June 1971, SEC, FOIA, in authors possession
-
Report on Goodbody & Co., June 1971, SEC, FOIA, in authors possession.
-
-
-
-
25
-
-
0042187568
-
Big board, big volume, big trouble
-
May
-
Carol J. Loomis, "Big Board, Big Volume, Big Trouble," Fortune, May 1968, 150.
-
(1968)
Fortune
, pp. 150
-
-
Loomis, C.J.1
-
29
-
-
0042688674
-
-
17 Jan. sec. 3
-
The incredibly complex nature of stock transfers is well demonstrated by a flow chart reproduced in the New York Times, 17 Jan. 1971, sec. 3, 1; see also New York Times, 30 Dec. 1969, 50.
-
(1971)
New York Times
, vol.1
-
-
-
30
-
-
0004047065
-
-
30 Dec.
-
The incredibly complex nature of stock transfers is well demonstrated by a flow chart reproduced in the New York Times, 17 Jan. 1971, sec. 3, 1; see also New York Times, 30 Dec. 1969, 50.
-
(1969)
New York Times
, pp. 50
-
-
-
33
-
-
0042187609
-
-
Account by Charles Moran of Decline and Fall of F.I. Dupont & Co., SEC, FOIA, in author's possession
-
Account by Charles Moran of Decline and Fall of F.I. Dupont & Co., SEC, FOIA, in author's possession.
-
-
-
-
35
-
-
0004047065
-
-
30 March sec. 3
-
New York Times, 30 March 1969, sec. 3, 14; Robbins et al. "Paper Crisis in the Securities Industry," 25.
-
(1969)
New York Times
, pp. 14
-
-
-
38
-
-
0042187555
-
-
24 Aug.
-
Business Week, 24 Aug. 1968, 92-96.
-
(1968)
Business Week
, pp. 92-96
-
-
-
39
-
-
0043189631
-
-
15 July
-
Newsweek, 15 July 1968, 65-68; New York Times, 27 March 1969, 49.
-
(1968)
Newsweek
, pp. 65-68
-
-
-
40
-
-
0004047065
-
-
27 March
-
Newsweek, 15 July 1968, 65-68; New York Times, 27 March 1969, 49.
-
(1969)
New York Times
, pp. 49
-
-
-
42
-
-
0041686903
-
-
13 June
-
New, York Times, 13 June 1969, 71, 74.
-
(1969)
New, York Times
, vol.71
, pp. 74
-
-
-
44
-
-
0042688618
-
-
6 Nov.
-
Wall Street Journal, 6 Nov. 1969, 1, 24.
-
(1969)
Wall Street Journal
, vol.1
, pp. 24
-
-
-
45
-
-
0041686903
-
-
13 June
-
New York Times 13 June 1968, 71, 74.
-
(1968)
New York Times
, vol.71
, pp. 74
-
-
-
46
-
-
0042688632
-
-
Robbins et al., "Paper Crisis in the Securities Industry," 62-63; Nortman and Rashes, "Report on Goodbody & Co.," June 1971, SEC, FOIA contains many examples of bad working conditions, low morale, and high turnover among that firms back-office personnel.
-
Paper Crisis in the Securities Industry
, pp. 62-63
-
-
Robbins1
-
47
-
-
0041686861
-
-
June SEC, FOIA contains many examples of bad working conditions, low morale, and high turnover among that firms back-office personnel
-
Robbins et al., "Paper Crisis in the Securities Industry," 62-63; Nortman and Rashes, "Report on Goodbody & Co.," June 1971, SEC, FOIA contains many examples of bad working conditions, low morale, and high turnover among that firms back-office personnel.
-
(1971)
Report on Goodbody & Co.
-
-
Nortman1
Rashes2
-
50
-
-
0042688673
-
-
7 Feb.
-
Ibid., 157; New York Times, 7 Feb. 1969, 1, 56.
-
(1969)
New York Times
, vol.1
, pp. 56
-
-
-
54
-
-
0041686904
-
Improving office operations
-
8 March press releases, box 23, 5 March-31 May 1968
-
"Improving Office Operations," 8 March 1969, NYSE Archives, press releases, box 23, 5 March-31 May 1968.
-
(1969)
Nyse Archives
-
-
-
55
-
-
0042187610
-
-
25 August
-
Wall Street Journal, 25 August 1967, 13.
-
(1967)
Wall Street Journal
, pp. 13
-
-
-
57
-
-
0042187570
-
-
3 April
-
New York Times, 3 April 1968, 65, 71.
-
(1968)
New York Times
, vol.65
, pp. 71
-
-
-
58
-
-
0043189667
-
-
note
-
The AMEX had exclusive jurisdiction over very few brokerage firms because almost all its members also belonged to the NYSE. As a result, when it came to dealing with the operational crisis, the AMEX operated in tandem with its larger rival.
-
-
-
-
59
-
-
0042688666
-
-
SEC, Unsafe and Unsound Practices, 225; "An Exchange Report: Self-Regulation at a Time of Crisis," [October 1970], NYSE Archives, press releases, box 25, 20 July-26 Oct. 1970; Charles Moran, Account of the Decline and Fall of F.I. Dupont & Co. [1971]; Hayden, Stone Inc. to Mahlon Frankhauser, 21 Nov. 1968; Alfred Coyle to Mahlon Frankhauser, 21 Nov. 1968, all SEC, FOIA, in author's possession.
-
Unsafe and Unsound Practices
, pp. 225
-
-
-
60
-
-
0043189648
-
-
October 1970, NYSE Archives, press releases, box 25, 20 July-26 Oct.
-
SEC, Unsafe and Unsound Practices, 225; "An Exchange Report: Self-Regulation at a Time of Crisis," [October 1970], NYSE Archives, press releases, box 25, 20 July-26 Oct. 1970; Charles Moran, Account of the Decline and Fall of F.I. Dupont & Co. [1971]; Hayden, Stone Inc. to Mahlon Frankhauser, 21 Nov. 1968; Alfred Coyle to Mahlon Frankhauser, 21 Nov. 1968, all SEC, FOIA, in author's possession.
-
(1970)
An Exchange Report: Self-regulation at a Time of Crisis,
-
-
-
61
-
-
0043189659
-
-
Hayden, Stone Inc. to Mahlon Frankhauser, 21 Nov. 1968; Alfred Coyle to Mahlon Frankhauser, 21 Nov. 1968, all SEC, FOIA, in author's possession
-
SEC, Unsafe and Unsound Practices, 225; "An Exchange Report: Self-Regulation at a Time of Crisis," [October 1970], NYSE Archives, press releases, box 25, 20 July-26 Oct. 1970; Charles Moran, Account of the Decline and Fall of F.I. Dupont & Co. [1971]; Hayden, Stone Inc. to Mahlon Frankhauser, 21 Nov. 1968; Alfred Coyle to Mahlon Frankhauser, 21 Nov. 1968, all SEC, FOIA, in author's possession.
-
(1971)
Account of the Decline and Fall of F.I. Dupont & Co.
-
-
Moran, C.1
-
62
-
-
0042187571
-
-
U.S. Congress, House Subcommitee on Commerce and Finance of the Committee on Interstate and Foreign Commerce, Securities Market Agencies, 91st Cong., 1st sess., 1969, 1943.
-
(1969)
Securities Market Agencies, 91st Cong., 1st sess.
, pp. 1943
-
-
-
66
-
-
0041686857
-
Staff study of the interpretation and enforcement of the net capital rule of the New York Stock Exchange
-
"Staff Study of the Interpretation and Enforcement of the Net Capital Rule of the New York Stock Exchange," reproduced in Securities Industry Study, part 4, 228.
-
Securities Industry Study
, Issue.4 PART
, pp. 228
-
-
-
67
-
-
0043189640
-
-
20 Feb.
-
New York Times, 20 Feb. 1968, 63, 74.
-
(1968)
New York Times
, vol.63
, pp. 74
-
-
-
68
-
-
0042688619
-
-
23 May
-
Wall Street Journal, 23 May 1968, 8; 8 Aug. 1968, 4; "Liquidation of Pickard & Company Incorporated," 21 March 1969, NYSE Archives, press releases, box 24, 25 Feb. -1 May 1969.
-
(1968)
Wall Street Journal
, pp. 8
-
-
-
69
-
-
0043189642
-
-
8 Aug.
-
Wall Street Journal, 23 May 1968, 8; 8 Aug. 1968, 4; "Liquidation of Pickard & Company Incorporated," 21 March 1969, NYSE Archives, press releases, box 24, 25 Feb. -1 May 1969.
-
(1968)
Wall Street Journal
, pp. 4
-
-
-
70
-
-
0042688614
-
-
21 March 1969, NYSE Archives, press releases, box 24, 25 Feb. -1 May
-
Wall Street Journal, 23 May 1968, 8; 8 Aug. 1968, 4; "Liquidation of Pickard & Company Incorporated," 21 March 1969, NYSE Archives, press releases, box 24, 25 Feb. -1 May 1969.
-
(1969)
Liquidation of Pickard & Company Incorporated
-
-
-
71
-
-
0004185313
-
-
26 Oct.
-
New York Times, 26 Oct. 1968, 55.
-
(1968)
New York Times
, pp. 55
-
-
-
72
-
-
0043189639
-
Wall street on the ropes
-
Dec.
-
Carol J. Loomis, "Wall Street on the Ropes," Fortune, Dec. 1970, 136; New York Times, 6 July 1969, sec. 3, 13.
-
(1970)
Fortune
, pp. 136
-
-
Loomis, C.J.1
-
73
-
-
0004047065
-
-
6 July sec. 3
-
Carol J. Loomis, "Wall Street on the Ropes," Fortune, Dec. 1970, 136; New York Times, 6 July 1969, sec. 3, 13.
-
(1969)
New York Times
, pp. 13
-
-
-
75
-
-
0041686861
-
-
gives a particularly harrowing account of what could happen when a firm installs an untested computer system
-
Nortman and Rashes, "Report on Goodbody & Co.," gives a particularly harrowing account of what could happen when a firm installs an untested computer system.
-
Report on Goodbody & Co.
-
-
Nortman1
Rashes2
-
78
-
-
0042688618
-
-
6 Nov.
-
Wall Street Journal, 6 Nov. 1968, 1, 24.
-
(1968)
Wall Street Journal
, vol.1
, pp. 24
-
-
-
80
-
-
0041686849
-
-
NASD press release, 23 July
-
NASD press release, 23 July 1968, reproduced in Securities Markets Agencies, 427-428; New York Times, 16 Feb. 1969, sec. 3, 1, 12; Loomis, "Wall Street on the Ropes," 130.
-
(1968)
Securities Markets Agencies
, pp. 427-428
-
-
-
81
-
-
78649955740
-
-
16 Feb. sec. 3
-
NASD press release, 23 July 1968, reproduced in Securities Markets Agencies, 427-428; New York Times, 16 Feb. 1969, sec. 3, 1, 12; Loomis, "Wall Street on the Ropes," 130.
-
(1969)
New York Times
, vol.1
, pp. 12
-
-
-
82
-
-
0043189645
-
-
NASD press release, 23 July 1968, reproduced in Securities Markets Agencies, 427-428; New York Times, 16 Feb. 1969, sec. 3, 1, 12; Loomis, "Wall Street on the Ropes," 130.
-
Wall Street on the Ropes
, pp. 130
-
-
Loomis1
-
83
-
-
0042187498
-
American banker
-
21 March NYSE Archives
-
American Banker, 21 March 1969, clipping in "Automation Case Study Source Book," NYSE Archives.
-
(1969)
Automation Case Study Source Book
-
-
-
84
-
-
0043189643
-
-
91st Cong., 2nd sess.
-
U.S. Congress, Senate Subcommittee on Securities of the Committee on Banking, Housing and Urban Affairs, Clearance and Settlement of Securities Transactions, 91st Cong., 2nd sess., 1972, 225-235; New York Times, 7 March 1969, 51; Wall Street Journal, 23 May 1969, 3; 3 June 1969, 14; and 5 Aug. 1969, 12.
-
(1972)
Clearance and Settlement of Securities Transactions
, pp. 225-235
-
-
-
85
-
-
0004047065
-
-
7 March
-
U.S. Congress, Senate Subcommittee on Securities of the Committee on Banking, Housing and Urban Affairs, Clearance and Settlement of Securities Transactions, 91st Cong., 2nd sess., 1972, 225-235; New York Times, 7 March 1969, 51; Wall Street Journal, 23 May 1969, 3; 3 June 1969, 14; and 5 Aug. 1969, 12.
-
(1969)
New York Times
, pp. 51
-
-
-
86
-
-
0042688567
-
-
23 May
-
U.S. Congress, Senate Subcommittee on Securities of the Committee on Banking, Housing and Urban Affairs, Clearance and Settlement of Securities Transactions, 91st Cong., 2nd sess., 1972, 225-235; New York Times, 7 March 1969, 51; Wall Street Journal, 23 May 1969, 3; 3 June 1969, 14; and 5 Aug. 1969, 12.
-
(1969)
Wall Street Journal
, pp. 3
-
-
-
87
-
-
0041686851
-
-
3 June
-
U.S. Congress, Senate Subcommittee on Securities of the Committee on Banking, Housing and Urban Affairs, Clearance and Settlement of Securities Transactions, 91st Cong., 2nd sess., 1972, 225-235; New York Times, 7 March 1969, 51; Wall Street Journal, 23 May 1969, 3; 3 June 1969, 14; and 5 Aug. 1969, 12.
-
(1969)
Wall Street Journal
, pp. 14
-
-
-
88
-
-
0042187553
-
-
5 Aug.
-
U.S. Congress, Senate Subcommittee on Securities of the Committee on Banking, Housing and Urban Affairs, Clearance and Settlement of Securities Transactions, 91st Cong., 2nd sess., 1972, 225-235; New York Times, 7 March 1969, 51; Wall Street Journal, 23 May 1969, 3; 3 June 1969, 14; and 5 Aug. 1969, 12.
-
(1969)
Wall Street Journal
, pp. 12
-
-
-
92
-
-
0041686860
-
-
Securities Market Agencies, 143; Wall Street Journal, 31 Jan. 1969, 4; 1 March 1969, 3.
-
Securities Market Agencies
, pp. 143
-
-
-
93
-
-
0042688620
-
-
31 Jan.
-
Securities Market Agencies, 143; Wall Street Journal, 31 Jan. 1969, 4; 1 March 1969, 3.
-
(1969)
Wall Street Journal
, pp. 4
-
-
-
94
-
-
0042187556
-
-
1 March
-
Securities Market Agencies, 143; Wall Street Journal, 31 Jan. 1969, 4; 1 March 1969, 3.
-
(1969)
Wall Street Journal
, pp. 3
-
-
-
95
-
-
0043189647
-
-
part 2, 92nd Cong., 1st sess.
-
U.S. Congress, Senate Subcommittee on Banking and the Committee on Banking, Housing, and Urban Affairs, Securities Industry Study, part 2, 92nd Cong., 1st sess., 1971, 259-265.
-
(1971)
Securities Industry Study
, pp. 259-265
-
-
-
97
-
-
0042187552
-
-
2 Nov. sec. 3
-
New York Times, 2 Nov. 1968, sec. 3, 1, 7.
-
(1968)
New York Times
, vol.1
, pp. 7
-
-
-
98
-
-
0042688627
-
-
NYSE Archives
-
NYSE, "Annual Report, 1968," 9, NYSE Archives
-
Annual Report, 1968
, pp. 9
-
-
-
100
-
-
0004185313
-
-
16 Oct.
-
New York Times, 16 Oct. 1968, 60.
-
(1968)
New York Times
, pp. 60
-
-
-
101
-
-
0004185313
-
-
12 Nov.
-
Ibid., 12 Nov. 1968, 46.
-
(1968)
New York Times
, pp. 46
-
-
-
103
-
-
0043189653
-
-
29 Dec. sec. 3
-
New York Times, 29 Dec. 1968, sec. 3, 1, 11.
-
(1968)
New York Times
, vol.1
, pp. 11
-
-
-
104
-
-
0042688628
-
-
31 Dec.
-
Wall Street Journal, 31 Dec. 1968, 3; Newsweek, 13 Jan. 1969, 66-67.
-
(1968)
Wall Street Journal
, pp. 3
-
-
-
105
-
-
0043189638
-
-
13 Jan.
-
Wall Street Journal, 31 Dec. 1968, 3; Newsweek, 13 Jan. 1969, 66-67.
-
(1969)
Newsweek
, pp. 66-67
-
-
-
106
-
-
0004047065
-
-
15 April
-
New York Times, 15 April 1969, 72.
-
(1969)
New York Times
, pp. 72
-
-
-
110
-
-
0043189651
-
-
Homer Budge to Robert Haack, 16 Oct. 1970, and Haack to Budge, 26 Oct. 1970, SEC, FOIA, in author's possession
-
Homer Budge to Robert Haack, 16 Oct. 1970, and Haack to Budge, 26 Oct. 1970, SEC, FOIA, in author's possession.
-
-
-
-
115
-
-
0043189664
-
-
22 Feb. sec. 3
-
Loomis "Wall Street on the Ropes," 64, 156; New York Times, 22 Feb. 1970, sec. 3, 1 14.
-
(1970)
New York Times
, vol.1
, pp. 14
-
-
-
117
-
-
0042688629
-
-
14 April
-
Wall Street Journal, 14 April 1970, 1, 33.
-
(1970)
Wall Street Journal
, vol.1
, pp. 33
-
-
-
120
-
-
0042187561
-
-
28 April
-
Ibid., 28 April 1970, 1, 29; New York Times, 8 May 1970, 47, 50; 23 Dec. 1970, 35, 41; NYSE, Fact Book, 1971, 57
-
(1970)
Wall Street Journal
, vol.1
, pp. 29
-
-
-
121
-
-
0042688624
-
-
8 May
-
Ibid., 28 April 1970, 1, 29; New York Times, 8 May 1970, 47, 50; 23 Dec. 1970, 35, 41; NYSE, Fact Book, 1971, 57
-
(1970)
New York Times
, vol.47
, pp. 50
-
-
-
122
-
-
0042187560
-
-
23 Dec.
-
Ibid., 28 April 1970, 1, 29; New York Times, 8 May 1970, 47, 50; 23 Dec. 1970, 35, 41; NYSE, Fact Book, 1971, 57
-
(1970)
New York Times
, vol.35
, pp. 41
-
-
-
123
-
-
0043189655
-
-
Ibid., 28 April 1970, 1, 29; New York Times, 8 May 1970, 47, 50; 23 Dec. 1970, 35, 41; NYSE, Fact Book, 1971, 57
-
(1971)
Fact Book
, pp. 57
-
-
-
124
-
-
0042187561
-
-
28 April
-
Wall Street Journal, 28 April 1970, 1, 29.
-
(1970)
Wall Street Journal
, vol.1
, pp. 29
-
-
-
126
-
-
0042187559
-
-
note
-
Ira Haupt had collapsed in 1964 because of fraud. The NYSE stepped in, making sure that the firm's customers received the cash and securities they had on deposit with Haupt, although it cost the Exchange several million dollars. The trust fund was supposed to defray such expenses in the future, as well as to reassure investors.
-
-
-
-
128
-
-
0043189641
-
-
July
-
Fortune, July 1970, 141-144.
-
(1970)
Fortune
, pp. 141-144
-
-
-
130
-
-
0043189657
-
-
part 3, 92nd Cong., 1st sess.
-
U.S. Congress, Senate Subcommittee on Banking of the Committee on Banking, Housing, and Urban Affairs, Securities Industry Study, part 3, 92nd Cong., 1st sess., 1971, 232.
-
(1971)
Securities Industry Study
, pp. 232
-
-
-
131
-
-
0043189648
-
-
(October 1970), NYSE Archives, press releases, box 25, 20 July-26 Oct.
-
"An Exchange Report: Self-Regulation at a Time of Crisis" (October 1970), NYSE Archives, press releases, box 25, 20 July-26 Oct. 1970.
-
(1970)
An Exchange Report: Self-Regulation at a Time of Crisis
-
-
-
133
-
-
0002792702
-
-
14 June sec. 3
-
New York Times, 14 June 1970, sec. 3, 11.
-
(1970)
New York Times
, pp. 11
-
-
-
134
-
-
0348086668
-
-
18 July
-
Business Week, 18 July 1970, 84.
-
(1970)
Business Week
, pp. 84
-
-
-
135
-
-
0042187566
-
-
3 June
-
Wall Street Journal, 3 June 1970, 2; and 9 June 1970, 40; memo from Frank Dominach to John Cunningham and Lee Arning, 24 June 1970, SEC, FOIA, in author's possession.
-
(1970)
Wall Street Journal
, pp. 2
-
-
-
136
-
-
0042688621
-
-
9 June; memo from Frank Dominach to John Cunningham and Lee Arning, 24 June 1970, SEC, FOIA, in author's possession
-
Wall Street Journal, 3 June 1970, 2; and 9 June 1970, 40; memo from Frank Dominach to John Cunningham and Lee Arning, 24 June 1970, SEC, FOIA, in author's possession.
-
(1970)
Wall Street Journal
, pp. 40
-
-
-
137
-
-
0043189654
-
-
Memo from Robert Biship, Fred Stock, and Richard Greves to Lee Arning and John Cunningham, 5 Feb. 1970, SEC, FOIA, in author's possession
-
Memo from Robert Biship, Fred Stock, and Richard Greves to Lee Arning and John Cunningham, 5 Feb. 1970, SEC, FOIA, in author's possession.
-
-
-
-
139
-
-
0042187558
-
-
memo from Dominach to Cunningham and Arning, 24 June
-
Ibid., 232; memo from Dominach to Cunningham and Arning, 24 June 1970.
-
(1970)
Securities Industry Study
, pp. 232
-
-
-
142
-
-
0041686855
-
-
Loomis, "Last Months of Hayden, Stone," 114-116, 154-159; U.S. Congress, Senate Subcommittee on Securities of the Committee on Banking and Currency, Federal Broker-Dealer Insurance Corporation, 91st Cong., 2nd sess., 1970, 39; Wall Street Journal, 1 May 1970, 13; and 16 Jan. 1970, 30.
-
Last Months of Hayden, Stone
, pp. 114-116
-
-
Loomis1
-
143
-
-
0042187564
-
-
91st Cong., 2nd sess.
-
Loomis, "Last Months of Hayden, Stone," 114-116, 154-159; U.S. Congress, Senate Subcommittee on Securities of the Committee on Banking and Currency, Federal Broker-Dealer Insurance Corporation, 91st Cong., 2nd sess., 1970, 39; Wall Street Journal, 1 May 1970, 13; and 16 Jan. 1970, 30.
-
(1970)
Federal Broker-dealer Insurance Corporation
, pp. 39
-
-
-
144
-
-
0042688566
-
-
1 May
-
Loomis, "Last Months of Hayden, Stone," 114-116, 154-159; U.S. Congress, Senate Subcommittee on Securities of the Committee on Banking and Currency, Federal Broker-Dealer Insurance Corporation, 91st Cong., 2nd sess., 1970, 39; Wall Street Journal, 1 May 1970, 13; and 16 Jan. 1970, 30.
-
(1970)
Wall Street Journal
, pp. 13
-
-
-
145
-
-
0042187563
-
-
Loomis, "Last Months of Hayden, Stone," 114-116, 154-159; U.S. Congress, Senate Subcommittee on Securities of the Committee on Banking and Currency, Federal Broker-Dealer Insurance Corporation, 91st Cong., 2nd sess., 1970, 39; Wall Street Journal, 1 May 1970, 13; and 16 Jan. 1970, 30.
-
(1970)
Wall Street Journal
, pp. 30
-
-
-
146
-
-
0043189656
-
-
note
-
The other firms were Pickard & Co., Amott, Baker & Co., Fusz-Schmeltze & Co., Gregory & Sons, Baerwald & DeBoer, Orvis Brothers & Co., and Meyerson & Co.
-
-
-
-
147
-
-
20444463723
-
-
16 Jan.
-
Business Week, 16 Jan. 1971, 80.
-
(1971)
Business Week
, pp. 80
-
-
-
150
-
-
0042688623
-
Synopsis of federal broker-dealer insurance corporation act
-
NYSE Archives, public relations, box 16
-
"Synopsis of Federal Broker-Dealer Insurance Corporation Act," [1970], NYSE Archives, public relations, box 16, Member Firms: Failures-SIPC.
-
(1970)
Member Firms: Failures-SIPC
-
-
-
153
-
-
0041686848
-
-
19 Dec.
-
New York Times, 19 Dec. 1970, 1, 45.
-
(1970)
New York Times
, vol.1
, pp. 45
-
-
-
155
-
-
0043189583
-
-
December NYSE Archives, press releases, box 25, 27 Oct.-23 Dec. 1970
-
"Fact Sheet: Securities Investor Protection Act of 1970," [December 1970], NYSE Archives, press releases, box 25, 27 Oct.-23 Dec. 1970; Wall Street Journal, 17 June 1970, 2.
-
(1970)
Fact sheet: Securities investor protection act of 1970,
-
-
-
156
-
-
0043189630
-
-
17 June
-
"Fact Sheet: Securities Investor Protection Act of 1970," [December 1970], NYSE Archives, press releases, box 25, 27 Oct.-23 Dec. 1970; Wall Street Journal, 17 June 1970, 2.
-
(1970)
Wall Street Journal
, pp. 2
-
-
-
157
-
-
0041686845
-
-
24 May
-
Wall Street Journal, 24 May 1971, 3; 8 Nov. 1971, 2.
-
(1971)
Wall Street Journal
, pp. 3
-
-
-
158
-
-
0042187500
-
-
8 Nov.
-
Wall Street Journal, 24 May 1971, 3; 8 Nov. 1971, 2.
-
(1971)
Wall Street Journal
, pp. 2
-
-
-
159
-
-
0042688613
-
-
Haack to Hamer Budge, 14 July 1970, and Haack to Theodore H. Focht, 23 July 1970, reproduced in U.S. Congress, House Subcommittee on Commerce and Finance of the Committee on Interstate and Foreign Commerce, Securities Investor Protection, 91st Cong., 2nd sess., 1970, 330-331, 396-397.
-
(1970)
Securities Investor Protection, 91st Cong., 2nd sess.
, pp. 330-331
-
-
-
160
-
-
0041686852
-
-
Brooks, The Go-Go Years, 324-325; Business Week, 3 Oct. 1970, 20-21.
-
The Go-Go Years
, pp. 324-325
-
-
Brooks1
-
161
-
-
0348086668
-
-
3 Oct.
-
Brooks, The Go-Go Years, 324-325; Business Week, 3 Oct. 1970, 20-21.
-
(1970)
Business Week
, pp. 20-21
-
-
-
162
-
-
0043189540
-
-
Press release, 17 Nov. 1970, NYSE Archives, press releases, box 25, 27 Oct.-23 Dec. 1970
-
Press release, 17 Nov. 1970, NYSE Archives, press releases, box 25, 27 Oct.-23 Dec. 1970.
-
-
-
-
163
-
-
0041686848
-
-
19 Dec.
-
New York Times, 19 Dec. 1970, 1, 45. The SIPC did not insure against market fluctuations, only against the failure of brokers. For instance, if a customer whose broker failed had 100 shares of IBM on deposit with that broker, the SIPC would guarantee that he would get back those shares (provided they were worth no more than $50,000). But the government would not compensate an investor for a decline in the value of IBM shares in the interim.
-
(1970)
New York Times
, vol.1
, pp. 45
-
-
-
164
-
-
0042187495
-
-
17 Jan. 1971
-
Wall Street Journal, 17 Jan. 1971, 2. Most of this money came from a $15 million tax refund from the federal government, the product of losses suffered by the Exchange in liquidating failed firms. In a sense, therefore, the government did end up bailing out these three firms.
-
Wall Street Journal
, vol.2
-
-
-
165
-
-
0043189584
-
-
note
-
For examples of the problems of both firms, see the following memos: from Haskins & Sells, 16 Dec. 1969; Charles Moran to Robert Bishop, 28 Feb. 1969; James King to Paul Chenet, 20 June 1970; M.A Speicher to Paul Chenet, 1 Dec. 1970; and information statement, 16 Oct 1970, all SEC, FOIA, in author's possession.
-
-
-
-
166
-
-
0042187496
-
-
Budge to Haack, 16 Oct. 1970, and Haack to Budge, 26 Oct. 1970.
-
Budge to Haack, 16 Oct. 1970, and Haack to Budge, 26 Oct. 1970.
-
-
-
-
167
-
-
0042187494
-
-
Ibid.
-
Ibid.
-
-
-
-
171
-
-
0043189580
-
-
M.A. Speichder to Paul Chenet, 5 Jan. 1971; Thomas Thompson to Charles Rubin, 17 Feb 1971, both SEC, FOIA, in author's possession
-
M.A. Speichder to Paul Chenet, 5 Jan. 1971; Thomas Thompson to Charles Rubin, 17 Feb 1971, both SEC, FOIA, in author's possession.
-
-
-
-
173
-
-
0042187489
-
-
17 March 1971, SEC, FOIA, in author's possession
-
Minutes of special meeting, 17 March 1971, SEC, FOIA, in author's possession.
-
Minutes of Special Meeting
-
-
-
174
-
-
0041686856
-
-
Louis, "Perot Moves," 90-93, 113-115; NYSE memo to members and allied members, 3 May 1971, SEC, FOIA, in author's possession. Perot wanted Dupont on a sound financial footing when he took over and decided that it should have a ten-to-one capital ratio. If his $40 million was not enough, the NYSE agreed to put in up to $15 million to bring it to this point. Should increasing the firm's debt-to-capital ratio require more money, however, Perot would have to find it elsewhere.
-
Perot Moves
, pp. 90-93
-
-
Louis1
-
175
-
-
0041686796
-
-
note
-
Louis, "Perot Moves," 90-93, 113-115; NYSE memo to members and allied members, 3 May 1971, SEC, FOIA, in author's possession. Perot wanted Dupont on a sound financial footing when he took over and decided that it should have a ten-to-one capital ratio. If his $40 million was not enough, the NYSE agreed to put in up to $15 million to bring it to this point. Should increasing the firm's debt-to-capital ratio require more money, however, Perot would have to find it elsewhere.
-
-
-
-
176
-
-
0042688560
-
-
Homewood, Ill., provides a good account of Perot's adventures on Wall Street
-
Todd Mason, Perot: An Unauthorized Biography (Homewood, Ill., 1990), provides a good account of Perot's adventures on Wall Street.
-
(1990)
Perot: An Unauthorized Biography
-
-
Mason, T.1
-
180
-
-
0042187491
-
-
NYSE Archives
-
NYSE, "Annual Report, 1971," 2, NYSE Archives.
-
Annual Report, 1971
, pp. 2
-
-
-
182
-
-
0043189581
-
-
Chicago
-
See Christopher Elias, Fleecing the Lambs (Chicago, 1971) and Hurd Baruch, Wall Street: Security Risk (Washington, 1971). Even Brooks's The Go-Go Years, a generally good history of Wall Street during the 1960s, offers a strange moral judgement on the back-office crisis, coupling discussion of the subject with an examination of increasing drug use by the staff of brokerage firms (chap. 8).
-
(1971)
Fleecing the Lambs
-
-
Elias, C.1
-
183
-
-
0042688555
-
-
Washington
-
See Christopher Elias, Fleecing the Lambs (Chicago, 1971) and Hurd Baruch, Wall Street: Security Risk (Washington, 1971). Even Brooks's The Go-Go Years, a generally good history of Wall Street during the 1960s, offers a strange moral judgement on the back-office crisis, coupling discussion of the subject with an examination of increasing drug use by the staff of brokerage firms (chap. 8).
-
(1971)
Wall Street: Security Risk
-
-
Baruch, H.1
-
184
-
-
0041686852
-
-
a generally good history of Wall Street during the 1960s, offers a strange moral judgement on the back-office crisis, coupling discussion of the subject with an examination of increasing drug use by the staff of brokerage firms (chap. 8)
-
See Christopher Elias, Fleecing the Lambs (Chicago, 1971) and Hurd Baruch, Wall Street: Security Risk (Washington, 1971). Even Brooks's The Go-Go Years, a generally good history of Wall Street during the 1960s, offers a strange moral judgement on the back-office crisis, coupling discussion of the subject with an examination of increasing drug use by the staff of brokerage firms (chap. 8).
-
The Go-go Years
-
-
Brooks's, E.1
-
186
-
-
0042187488
-
-
Account by Charles Moran of the Decline and Fall of F.I. Dupont
-
Account by Charles Moran of the Decline and Fall of F.I. Dupont.
-
-
-
-
187
-
-
0043189541
-
-
Ernst & Ernst to Goodbody & Co., 31 March 1970, SEC, FOIA, in author's possession
-
Ernst & Ernst to Goodbody & Co., 31 March 1970, SEC, FOIA, in author's possession.
-
-
-
-
188
-
-
0043189577
-
-
31 July
-
Wall Street Journal, 31 July 1969, 4; 15 Sept. 1971, 4.
-
(1969)
Wall Street Journal
, pp. 4
-
-
-
189
-
-
0041686795
-
-
15 Sept.
-
Wall Street Journal, 31 July 1969, 4; 15 Sept. 1971, 4.
-
(1971)
Wall Street Journal
, pp. 4
-
-
-
190
-
-
0042688562
-
-
By 1971, the NYSE allowed members to sell a minority stake to the public
-
By 1971, the NYSE allowed members to sell a minority stake to the public.
-
-
-
|