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Comments on Exemptive Order: Order Pursuant to Sections 15F(b)(6) and 36 of the Securities Exchange Act of 1934 Granting Temporary Exemptions and Other Temporary Relief, Together with Information on Compliance Dates for New Provisions of the Securities Exchange Act of 1934 Applicable to Security-Based Swaps, and Request for Comment
[Release No. 34-64678; File No. S7-24-11]
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Jul. 26, 2011 | Kevin Gould, President, Markit North America, Inc. |
Jul. 15, 2011 | Jeff Gooch, Chief Executive Officer, MarkitSERV |
Jul. 6, 2011 | Dennis M. Kelleher, President & CEO, and Stephen W. Hall, Securities Specialist, Better Markets, Inc. |
Jul. 1, 2011 | Bruce C. Bennett, Covington and Burling LLP, Washington, District of Columbia |
Jul. 1, 2011 | Jirí Król, Director of Government & Regulatory Affairs, Alternative Investment Management Association Limited |
Jun, 10, 2011 | American Bankers Association, Financial Services Roundtable, Futures Industry Association, Institute of International Bankers, International Swaps and Derivatives Association,,, Investment Company Institute, Securities Industry and Financial Markets Association, and U.S. Chamber of Commerce
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Meetings with SEC Officials
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Jul. 7, 2011 | Memorandum from the Division of Trading and Markets regarding a July 7, 2011 telephonic meeting with representatives of Davis Polk & Wardwell LLP |
http://www.sec.gov/comments/s7-24-11/s72411.shtml
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