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Proposed Rule: Reporting of Proxy Votes on Executive Compensation and Other Matters

[Release Nos. 34-63123; IC-29463; File No. S7-30-10]

See also: Comments on Dodd-Frank Act Title IX, Executive Compensation


Submitted Comments

(Click here for meetings with SEC officials)
Jun. 3, 2011 Katherine Rabin, Chief Executive Officer and John Wieck, Chief Operating Officer, Glass Lewis & Co., LLC
Dec. 22, 2010 Stuart J. Kaswell, Executive Vice President and Managing Director, General Counsel, Managed Funds Association
Dec. 14, 2010 M. W. L.
Nov. 23, 2010 Stephen Harvey, Business Head, Institutional Shareholder Services Inc., Rockville, Maryland
Nov. 22, 2010 Jeffrey W. Rubin, Chair, Committee on Federal Regulation of Securities, Section of Business Law, American Bar Association, New York, New York
Nov. 19, 2010 Teresa L. Remillard, Assistant Director, Legal and Corporate Affairs, Intel Corporation
Nov. 18, 2010 Paul M. Miller, Patricia A. Poglinco, and Robert B. Van Grover, Seward & Kissel LLP, New York, New York
Nov. 18, 2010 John Wieck, Chief Operating Officer, Glass Lewis & Co., LLC, San Francisco, California
Nov. 18, 2010 Richard M. Whiting, Executive Director & General Counsel, Financial Services Roundtable, Washington, District of Columbia
Nov. 18, 2010 Scott Goebel, Senior Vice President and General Counsel, Fidelity Management & Research Company
Nov. 18, 2010 Bill McGrew, Portfolio Manager, Investment Office, Global Equity Corporate Governance, CalPERS
Nov. 18, 2010 Karrie McMillan, Investment Company Institute, Washington, District of Columbia
Nov. 18, 2010 Gregory W. Smith, General Counsel/Chief Operationg Officer, Colorado Public Employees' Retirement Association
Nov. 18, 2010 Elizabeth N. Knoblock, Partner, Mayer Brown LLP
Nov. 18, 2010 Anne Sheehan, Director of Corporate Governance, California State Teachers' Retirement System, West Sacramento, California
Nov. 18, 2010 Sen. Carl Levin, U.S. Senate
Nov. 18, 2010 Adrienne Brown, MBA, Nationwide Investment Management Group
Nov. 17, 2010 Oli Stone
Nov. 16, 2010 Jennifer S. Choi, Associate General Counsel, Investment Adviser Association
Nov. 13, 2010 Chris Barnard, Germany
Nov. 12, 2010 Glenn H. Davis, Senior Research Associate, Council of Institutional Investors
Nov. 8, 2010 Dennis Reiland, Portfolio Manager, Irvine, California
Nov. 2, 2010 Dominic Jones, IRWebReport.com, Canada
Oct. 26, 2010 Heidi Preston, Austin, Texas
Oct. 21, 2010 Giovanni De Amici, Torrance, California
Oct. 19, 2010 Harold Myers

Meetings with SEC Officials

(
Click here for submitted comments from the public)
Mar. 10, 2014 Memorandum from the Division of Investment Management regarding February 26, 2014, and February 28, 2014, telephone calls with representatives of Institutional Shareholder Services, Inc.
Mar. 10, 2014 Memorandum from the Division of Investment Management regarding a February 26, 2014, telephone call with a representative of the Investment Adviser Association
Feb. 28, 2014 Memorandum from the Division of Investment Management regarding a February 28, 2014, telephone call with a representative of Glass Lewis & Co.
Jan. 14, 2011 Memorandum from the Division of Investment Management regarding a January 14, 2011, telephone call with representatives of Glass Lewis & Co., LLC
Jan. 7, 2011 Memorandum from the Division of Investment Management regarding a November 29, 2010, telephone call with representatives of BlackRock
Dec. 1, 2010 Memorandum from the Division of Investment Management regarding a November 24, 2010, telephone call with representatives of Glass Lewis & Co., LLC
Dec. 1, 2010 Memorandum from the Division of Investment Management regarding a November 24, 2010, telephone call with representatives of the Investment Adviser Association
Dec. 1, 2010 Memorandum from the Division of Investment Management regarding a November 24, 2010, telephone call with representatives of Fidelity Investments
Dec. 1, 2010 Memorandum from the Division of Investment Management regarding a November 24, 2010, telephone call with representatives of Nationwide Investment Management Group
Nov. 23, 2010 Memorandum from the Division of Investment Management regarding a November 23, 2010, meeting with representatives of the Managed Funds Association

 

http://www.sec.gov/comments/s7-30-10/s73010.shtml

Modified: 03/25/2014