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Comments on CBOE Rulemaking
Notice of Filing of Proposed Rule Change Relating to Customer Portfolio Margining Requirements
(Release No. 34-53576; File No. SR-CBOE-2006-14)
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Jul. 26, 2006 |
Timothy H. Thompson, Sr. Vice President, Chief Regulatory Officer, Chicago Board Options Exchange, Chicago, Illinois |
Jun. 5, 2006 |
Timothy H. Thompson, Sr. Vice President, Chief Regulatory Officer, Chicago Board Options Exchange, Chicago, Illinois |
May 19, 2006 |
William H. Navin, Executive Vice President & General Counsel, Options Clearing Corporation |
May 16, 2006 |
James Barry, Portfolio Margining Committee; John Vitha, Chair, Derivatives Product Committee; and Christopher Nagy, Chair, Options Committee, Securities Industry Association |
May 11, 2006 |
Gary Alan DeWaal, Group General Counsel and Director of Legal and Cpmpliance, Fimat Group |
May 10, 2006 |
Stuart J. Kaswell, Dechert LLP, counsel for Federated Investors, Washington, District of Columbia |
May 9, 2006 |
Craig Donohue, Chief Executive Officer, Chicago Mercantile Exchange Inc. |
Apr. 21, 2006 |
Gerard J. Quinn, Vice President and Associate General Counsel, Securities Industry Association |
http://www.sec.gov/comments/sr-cboe-2006-14/cboe200614.shtml
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