SEC Seal Home | Jobs | Fast Answers | Site Map | Search
U.S. Securities and Exchange Commission


  About the SEC

  Filings & Forms

  Regulatory Actions


  Staff Interps

  Investor Info

  News & Statements

  Litigation

  ALJ

  Information for...

  Divisions


Proposed Rule: Mine Safety Disclosure

[Release No. 33-9164; File No. S7-41-10]

See also: Comments for Dodd Frank Act Title XV, Specialized Disclosures


Submitted Comments

(Click here for meetings with SEC officials)
Apr. 4, 2011 William J. Williams, Jr.
Mar. 2, 2011 Teresa Fogelberg, Deputy Chief Executive, Global Reporting Initiative, Amsterdam, Netherlands
Mar. 2, 2011 Cleary Gottlieb Steen & Hamilton LLP
Mar. 2, 2011 Paul E. Gutermann, Akin Gump Strauss Hauer & Feld LLP
Mar. 2, 2011 Daniel F. Pedrotty, Director, Office of Investment, AFL-CIO
Mar. 2, 2011 Davis Graham & Stubbs LLP
Mar. 2, 2011 Payal Sampat, International Program Director, and Scott Cardiff, International Program Coordinator, EARTHWORKS’ No Dirty Gold campaign
Mar. 1, 2011 Anne Sheehan, Director Corporate Governance, California State Teachers' Retirement System, West Sacramento, California
Mar. 1, 2011 Howard Dicker, Chair, Securities Regulation Committee, Business Law Section, New York State Bar Association
Mar. 1, 2011 United Mine Workers of America
Mar. 1, 2011 Ben Mathews, Company Secretary, Rio Tinto plc, United Kingdom
Feb. 28, 2011 Jennifer Mazin, Senior Counsel, Barrick Gold Corporation, Toronto, Ontario, Canada
Feb. 28, 2011 Joseph S. Casper, Vice President, Safety, National Stone, Sand & Gravel Association
Feb. 28, 2011 Anne Simpson, Senior Portfolio Manager, Global Equity, California Public Employees' Retirement System
Feb. 28, 2011 Bruce Watzman, Sr. Vice President, Regulatory Affairs, National Mining Association
Feb. 22, 2011 Douglas N. Currault II, Assistant General Counsel and Corporate Secretary, Freeport-McMoRan Copper and Gold Inc., Phoenix, Arizona
Feb. 16, 2011 Jonas Kron, Esq., Vice President, Deputy Director, ESG Research & Shareholder Advocacy, Trillium Asset Management Corporation
Feb. 22, 2011 Thomas V. Harman, Regulatory Affairs, Portland Cement Association
Jan. 31, 2011 Michael Gardner, General Counsel, Oxford Resource Partners, LP, Columbus, Ohio
Jan. 31, 2011 Matthew J. Foehr, Vice President and Comptroller, Chevron Corporation
Jan. 31, 2011 Mark G. Ellis, President, Industrial Minerals Association - North America
Jan. 31, 2011 Srinivasan Venkatakrishnan, CFO, AngloGold Ashanti Limited, Johannesburg, South Africa
Jan. 28, 2011 Lisa N. Woll, CEO, Social Investment Forum, Washington, District of Columbia
Jan. 27, 2011 Marion Loomis, Executive Director, Wyoming Mining Association
Jan. 13, 2011 Joseph Casper, Vice President, Safety, National Stone, Sand Gravel Association, Alexandria, Virginia
Jan. 12, 2011 John H. Estess, El Paso, Texas
Jan. 10, 2011 Erica Goddard
Jan. 7, 2011 Ian Telfer, Chairman, and Aram Shishmanian, Chief Executive Officer, World Gold Council
Jan. 3, 2011 Bruce Watzman, Senior Vice President, Regulatory Affairs, National Mining Association
Dec. 30, 2010 Chris Barnard, Germany
Dec. 21, 2010 Alan J. Michaels, CSP, Farmington, Minnesota
Dec. 20, 2010 Bill Dallin, Dallas, Texas
Dec. 20, 2010 William Gray, Mining Equipment Manufacturer, Nashville, Tennessee
Dec. 20, 2010 Joseph Cummins, Prospector of/for minerals and metals, Carrollton, Georgia

Meetings with SEC Officials

(
Click here for submitted comments from the public)
Mar. 30, 2011 Memorandum from the Office of Commissioner Aguilar regarding a March 17, 2011, meeting with representatives of Social Investment Forum

 

http://www.sec.gov/comments/s7-41-10/s74110.shtml

Modified: 05/09/2011