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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]
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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
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