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SEC Congressional Testimony
This collection of files contains Congressional testimony given by members of the SEC. The following material is currently available:
Third Quarter | Second Quarter | First Quarter
Additional Archives
2009 | 2008 | 2007 | 2006 | 2005 | 2004 | 2003 | 2002 | 2001 | 2000 | 1999 | 1998 | 1997 | 1996 | 1995
Date |
Testimony |
Speaker |
Third Quarter |
Jul. 29, 2009 |
Testimony Concerning "Protecting Shareholders and Enhancing Public Confidence by Improving Corporate Governance", Before the Subcommittee on Securities, Insurance, and Investment of the United States Senate Committee on Banking, Housing and Urban Affairs |
Meredith B. Cross, Director, Division of Corporation Finance |
Jul. 23, 2009 |
Testimony Concerning Regulation of Systemic Risk, Before the United States Senate Committee on Banking, Housing and Urban Affairs |
Chairman
Mary L. Schapiro |
Jul. 22, 2009 |
Testimony Concerning Regulatory Perspectives on the Obama Administration's
Financial Regulatory Reform Proposals, Before the United States House of Representatives Committee on Financial Services |
Chairman
Mary L. Schapiro |
Jul. 15, 2009 |
Testimony Concerning Regulating Hedge Funds and Other Private Investment Pools, Before the Subcommittee on Securities, Insurance, and Investment of the U.S. Senate Committee on Banking, Housing, and Urban Affairs |
Andrew J. Donohue, Director, Division of Investment Management |
Jul. 14, 2009 |
Testimony Concerning SEC Oversight: Current State and Agenda, Before the Subcommittee on Capital Markets, Insurance and Government-Sponsored Enterprises, Committee on Financial Services, United States House of Representatives |
Chairman
Mary L. Schapiro |
Jul. 13, 2009 |
Statement for the Record by the Securities and Exchange Commission, Before the Subcommittee on Oversight and Investigations, Committee on Financial Services, U.S. House of Representatives |
Chairman and Commissioners
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Second Quarter |
Jun. 22, 2009 |
Testimony Concerning Regulation of Over-The-Counter Derivatives, Before the Subcommittee on Securities, Insurance, and Investment, Committee on Banking, Housing and Urban Affairs, United States Senate |
Chairman
Mary L. Schapiro |
Jun. 11, 2009 |
Testimony Concerning the Oversight and Regulation of Executive Compensation, Before the United States House of Representatives Committee on Financial Services |
Brian V. Breheny, Deputy Director, Division of Corporation Finance |
Jun. 2, 2009 |
Testimony Before the Subcommittee on Financial Services and General Government, U.S. Senate Committee on Appropriations; see also Appendix |
Chairman
Mary Schapiro |
May 21, 2009 |
Testimony Concerning Legislative Proposals to Improve the Efficiency and Oversight of Municipal Finance |
Martha Mahan Haines, Assistant Director, Division of Trading and Markets |
May 7, 2009 |
Testimony Concerning Strengthening the SEC's Vital Enforcement Responsibilities, Before the U.S. Senate Banking, Housing, and Urban Affairs Subcommittee on Securities, Insurance, and Investment |
Robert Khuzami, Director, Division of Enforcement |
First Quarter |
Mar. 26, 2009 |
Testimony Concerning Enhancing Investor Protection and Regulation of the Securities Markets, Before the U.S. Senate Committee on Banking, Housing and Urban Affairs; see also Appendix |
Chairman
Mary L. Schapiro |
Mar. 25, 2009 |
Testimony Concerning Exploring the Balance Between Increased Credit Availability and Prudent Lending Standards, Before the United States House of Representatives Committee on Financial Services |
James L. Kroeker, Acting Chief Accountant |
Mar. 20, 2009 |
Testimony Concerning Securities Law Enforcement In The Current Financial Crisis, Before the United States House of Representatives Committee on Financial Services |
Commissioner Elisse B. Walter |
Mar. 18, 2009 |
Testimony Concerning Lessons Learned in Risk Management Oversight at Federal Financial Regulators, Before the Subcommittee on Subcommittee on Securities, Insurance and Investment of the U.S. Senate Committee on Banking, Housing and Urban Affairs, United States Senate |
Erik Sirri, Director, Division of Trading and Markets |
Mar. 12, 2009 |
Testimony Concerning Mark-to-Market Accounting: Practices and Implications, Subcommittee on Capital Markets, Insurance, and Government Sponsored Enterprises of the House Committee on Financial Services |
James L. Kroeker, Acting Chief Accountant |
Mar. 11, 2009 |
Testimony Before the Subcommittee on Financial Services and General Government, U.S. House of Representatives Committee on Appropriations |
Chairman
Mary Schapiro |
Feb. 4, 2009 |
Testimony Concerning Investor Protection and Securities Fraud, Before the U.S. House of Representatives Committee on Financial Services and Subcommittee on Capital Markets, Insurance and Government-Sponsored Enterprises |
Andrew J. Donohue, Lori Richards, Erik Sirri, Linda Chatman Thomsen and Andrew Vollmer |
Jan. 27, 2009 |
Testimony Concerning Investigations and Examinations by the
Securities and Exchange Commission and Issues Raised by the Bernard L. Madoff Investment Securities Matter, Before the U.S. Senate Committee on Banking, Housing and Urban Affairs |
Linda Chatman Thomsen, Director, Director, Division Of Enforcement |
Jan. 27, 2009 |
Testimony Concerning the Securities and Exchange Commission and
Issues Raised by the Bernard L. Madoff Investment Securities Matter, Before the U.S. Senate Committee on Banking, Housing and Urban Affairs |
Lori A. Richards, Director, Office of Compliance Inspections and Examinations |
Jan. 5, 2009 |
Testimony Before the U.S. House of Representatives Committee on Financial Services |
H. David Kotz, Inspector General |
http://www.sec.gov/news/testimony.shtml
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