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Comments on Acceptance of Public Submissions for a Study on International Swap Regulation Mandated by Section 719(c) of the Dodd-Frank Wall Street Reform and Consumer Protection Act

[Release No. 34-64926; File No. 4-635]


Nov. 8, 2011 Inigo de la Lastra, Head of Secondary Markets Department, CNMV (Spain)
Oct. 11, 2011 Greg Toczylowski, Ontario Securities Commission
Oct. 3, 2011 Ian Axe, Chief Executive Officer, LCH.Clearnet
Sep. 29, 2011 Daniela Russo, Director General, Directorate General Payments and Market Infrastructure, European Central Bank
Sep. 28, 2011 Marcos Costa Santos Carreira, BM&FBOVESPA
Sep. 26, 2011 Garry Jones, NYSE Euronext
Sep. 26, 2011 Thomas Book, Member of the Executive Board, Eurex Frankfurt AG, and Matthias Graulich, Executive Director, Clearing Initiatives, Eurex Clearing
Sep. 26, 2011 Sho Sato, International Financial Markets, Financial Services Agency, Government of Japan
Sep. 26, 2011 Dennis Kelleher, President and CEO; Wallace C. Turbeville, Derivatives Specialist; Stephen W. Hall, Securities Specialist; Better Markets, Inc., Washington, District of Columbia
Sep. 26, 2011 Robert Pickel, Executive Vice Chairman, International Swaps and Derivatives Association, Inc.
Sep. 26, 2011 Jiri Krol, Director of Government and Regulatory Affairs, The Alternative Investment Management Association Limited, United Kingdom
Sep. 19, 2011 Bruce Stern, Association of Financial Guaranty Insurers
Aug. 22, 2011 Dr. Christian Katz, CEO, SIX Swiss Exchange Ltd. and Matthias Müller, Senior Legal Counsel, SIX Group AG

 

http://www.sec.gov/comments/4-635/4-635.shtml


Modified: 10/16/2014