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Final NYSE Corporate Governance Rules, 2003

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Summary

This document contains the final corporate governance rules of the New York Stock Exchange approved by the SEC on November 4, 2003, other than Section 303A.08, which was filed separately and approved by the SEC on June 30, 2003.

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Issuer

United States

Year

2003

Region

North America

Issuer (type)

New York Stock Exchange (NYSE) (Stock Exchange)

Policy Type

Disclosure

Geographical scope

National

Mandatory or voluntary

Mandatory


Main industries targeted
  • Finance & Insurance
  • Professional, Scientific, & Technical Services
  • Administrative, Support, Waste Management
Restrictiveness

High

Sustainable Development Goals (SDGs)
  • SDG 5: Gender Equality

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