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


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)



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


Modified: 08/01/2006