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Comments on NYSE Rulemaking

Notice of Filing of Proposed Rule Change Amending 303A.00 of the Exchange's Listed Company Manual to Provide a One-Year Transition Period to Comply with the Internal Audit Requirement of Section 303A.07(c) for Companies Listing in Connection with An Initial Public Offering, as New Registrants or by Means of a Carve-Out or Spin-Off Transaction

[Release No. 34-69914; File No. SR-NYSE-2013-40]


Jul. 29, 2013 Richard F. Chambers, CIA,CGAP, CCSA, CRMA, President and Chief Executive Officer, Institute of Internal Auditors

 

 

 

 

 

 

 

 

http://www.sec.gov/comments/sr-nyse-2013-40/nyse201340.shtml

Modified: 10/16/2014