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Comments on Exemption from Registration Under Section 12(g) of the Securities Exchange Act of 1934 for Foreign Private Issuers

[Release Nos. 34-57350, International Series Release No. 1307; File No. S7-04-08]


Aug. 15, 2008 Joseph McLaughlin, Sidley Austin LLP
Jul. 25, 2008 Gloria W. Nusbacher, Hughes Hubbard & Reed LLP, et al.
May 22, 2008 Bart Green, Chairman, and John C. Giesa, President & CEO, Security Trader’s Association
May 9, 2008 N. Adele Hogan, Chair, Committee on Securities Regulation, New York City Bar
May 5, 2008 Kevin R. Genirs, Securities Industry and Financial Markets Association
May 2, 2008 Shearman & Sterling LLP, Washington, District of Columbia
Apr. 30, 2008 Keith F. Higgins, Chair, Federal Regulation of Securities Committee, Section of Business Law, American Bar Association
Apr. 30, 2008 Theodore A. Paradise, and Margaret E. Tahyar, Davis Polk and Wardwell, Tokyo, Japan
Apr. 28, 2008 George Boychuk, Ziegler, Ziegler & Associates LLP
Apr. 28, 2008 Robert C. Lando, Osler, Hoskin Harcourt LLP, New York, New York
Apr. 25, 2008 Jacques Schraven, Chairman and Dorien Fransens, Secretary General, Europeanlssuers
Apr. 25, 2008 Peter T. Healy, Esq., O'Melveny & Myers LLP
Apr. 25, 2008 Herman H. Raspe, Patterson Belknap Webb & Tyler, LLP
Apr. 25, 2008 Kimberly Unger, Executive Director, Security Traders Association of New York
Apr. 25, 2008 Freshfields Bruckhaus Deringer
Apr. 25, 2008 DLA Piper, Dorsey & Whitney LLP, Herbert Smith LLP, Kirkpatrick & Lockhart Preston Gates Ellis LLP, Lovells LLP, Simmons & Simmons, and White & Case LLP
Apr. 25, 2008 Christianna Wood, Chair, ICGN Accounting and Auditing Practices Committee, International Corporate Governance Network
Apr. 25, 2008 International Bar Association
Apr. 25, 2008 Sullivan & Cromwell LLP
Apr. 25, 2008 The Bank of New York
Apr. 25, 2008 Shearman & Sterling LLP
Apr. 25, 2008 The Bank of New York, ADR Division, Depositary bank, New York, New York
Apr. 25, 2008 Andrew A. Bernstein, Cleary Gottlieb Steen & Hamilton LLP
Apr. 24, 2008 John A. Germinario, President, Depositary Management Corporation, New York, New York
Apr. 24, 2008 Cravath, Swaine & Moore LLP
Apr. 24, 2008 Linklaters LLP
Apr. 23, 2008 Sidley Austin LLP
Apr. 23, 2008 Organization for International Investment
Apr. 23, 2008 Skadden, Arps, Slate, Meagher & Flom LLP
Apr. 22, 2008 PricewaterhouseCoopers LLP
Apr. 21, 2008 Edwin Reyes, Managing Director, Deutsche Bank Trust Company Americas
Apr. 18, 2008 Claudine Gallagher, Managing Director, JPMorganChase
Apr. 18, 2008 Simpson Thacher Bartlett LLP, Tokyo Office
Apr. 15, 2008 Memorandum from the Office of International Corporate Finance regarding an April 11, 2008, meeting with representatives of the The Bank of New York Mellon
Apr. 14, 2008 Memorandum from the Office of Commissioner Atkins regarding an April 11, 2008, meeting with representatives of the The Bank of New York Mellon
Apr. 10, 2008 R. Cromwell Coulson, Chairman and CEO, Pink OTC Markets Inc.
Mar. 25, 2008 Memorandum from the Office of Commissioner Atkins regarding a March 10, 2008, meeting in London, England, with a group invited by the Organization for International Investment and The Bank of New York Mellon
Mar. 25, 2008 Memorandum from the Office of Commissioner Atkins regarding a March 12, 2008, meeting in Paris, France with a group invited by the European High Yield Association and the Securities Industry and Financial Markets Association
Mar. 10, 2008 Jennifer Marietta-Westberg, Office of Economic Analysis
Feb. 22, 2008 Dominic Jones, President, IRWebReport.com, Toronto, Canada

 

http://www.sec.gov/comments/s7-04-08/s70408.shtml

Modified: 08/21/2008