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Commission Speeches and Public Statements Archive: 1958

This index lists speeches and other public statements by the Chairman, Commissioners, and Staff of the SEC, which cover a wide range of topics concerning the state of the markets and the Commission's regulatory agenda.

Speeches and Statements by:

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1958 Speeches by the Chairman and Commissioners

Date Title Author
Fourth Quarter
Dec. 11, 1958 Legal Assistance Available to the Public, Including Private Practitioners, Administrative Law Section of the American Bar Association Chairman
Edward N. Gadsby
Dec. 3, 1958 Gun-Jumping Problems Under Section 5 of the Securities Act of 1933, Investment Bankers Association Annual Convention, Bal Harbour, Florida Chairman
Edward N. Gadsby
Dec. 1, 1958 The S.E.C. Looks at Small Business Investment Companies, Briefing Conference on the Small Business Investments Act of 1958, American Management Association, Inc., New York, New York Chairman
Edward N. Gadsby
Oct. 24, 1958 An Estimate of Federal Securities Regulation, Western Pennsylvania Group of the Investment Bankers Association, Inc., Pittsburgh, Pennsylvania Commissioner
Andrew Downey Orrick
Oct. 21, 1958 Twenty-Five Years of Securities Regulation, Chamber of Commerce of Metropolitan Saint Louis, Saint Louis, Missouri Commissioner
James C. Sargent
Oct. 15, 1958 Recent Developments in Rule Making at the Securities and Exchange Commission, Washington Society of Investment Analysts, Washington, D.C. Chairman
Edward N. Gadsby
Oct. 3, 1958 The Securities and Exchange Commission and the Financing of Small Businesses, New England Regional Meeting of the American Bar Association, Portland, Maine Chairman
Edward N. Gadsby
Third Quarter
Sep. 27, 1958 Some Recent Activities of the Securities and Exchange Commission, 41st Annual Convention of the North American Securities Administrators, Mexico City, Mexico Chairman
Edward N. Gadsby
Second Quarter
Jun. 18, 1958 Redemption Restrictions in Utility Bonds, Conference of the New England States Public Utilities Commissioners, Rockland, Maine Chairman
Edward N. Gadsby
Apr. 28, 1958 Remarks, Panel Discussion on "What Should Be the Proper Relationship Between Members of the Regulatory Agencies, Litigants and the Congress?", Administrative Law Committee and the Professional Ethics Committee of the Federal Bar Association Chairman
Edward N. Gadsby
Apr. 24, 1958 Proposed Legislation Involving Acceleration Policies, Texas Group, Investment Bankers Association of America, Houston, Texas Chairman
Edward N. Gadsby
Apr. 8, 1958 A Quarter of a Century of Securities Regulation, Security Analysts of San Francisco, San Francisco, California Commissioner
James C. Sargent
Apr. 8, 1958 Public Relations Counsel and the Federal Securities Laws, New York Chapter of the American Public Relations Association, New York, New York Chairman
Edward N. Gadsby
First Quarter
Mar. 20, 1958 Current Problems Under Section 5 of the Securities Act of 1933 and Release No. 3844, Central States Group of the Investment Bankers Association, Chicago, Illinois Chairman
Edward N. Gadsby
Feb. 14, 1958 The Securities and Exchange Commission and the California Securities Markets, Commonwealth Club of California, San Francisco, California Commissioner
Andrew Downey Orrick
Feb. 13, 1958 The Listed and Unlisted Securities Markets, New York Chapter of the American Society of Corporate Secretaries, New York, New York Chairman
Edward N. Gadsby
Feb. 6, 1958 Securities and Exchange Commission and the Mining Industry, Sixty-First National Western Mining Conference, Colorado Mining Association, Denver, Colorado Chairman
Edward N. Gadsby
Jan. 8, 1958 The Current Condition of the Securities Markets and Its Effect on Corporate Financing, January Meeting of the American Society of Corporate Secretaries, Chicago Chapter, Chicago, Illinois Commissioner
James C. Sargent

1958 Speeches and Statements by Commission Staff

Date Title Author
Dec. 27, 1958 Comments on a Paper Prepared by Dean Willis J. Winn and Professor Arleigh Hess, Jr., of The Wharton School of Finance and Commerce of the University of Pennsylvania, Entitled: "The Value of the Call Privilege", Annual Meeting of the American Finance Association, Chicago, Illinois J. Arnold Pines, Chief Financial Analyst, Division of Corporate Regulation
Sep. 15, 1958 The Canadian Accounting Profession and the S.E.C., 56th Annual Conference of the Canadian Institute of Chartered Accountants, Montreal, Quebec, Canada Andrew Barr, Chief Accountant
Aug. 27, 1958 Accounting Aspects of Business Combinations, American Accounting Association, Syracuse University, Syracuse, New York Andrew Barr, Chief Accountant
Feb. 19, 1958 The Small Business Investment Act of 1958 and the SEC, Federal Bar Association and the Bureau of National Affairs, Inc., Briefing Conference on Securities Laws and Regulation, Chicago, Illinois Manuel F. Cohen, Chief Counsel, Division of Corporation Finance
Jan. 14, 1958 Mergers, Consolidations and the SEC With Particular Emphasis on Rule 133 and Section 3(a)(9) of the Securities Act of 1933, The Association of the Bar of the City of New York, Committee on Post-Admission Legal Education, Joint Meeting of the Section on Administrative Law and Section on Banking, Corporation and Business Law, New York, New York Byron D. Woodside, Director, Division of Corporation Finance
Jan. 8, 1958 The Eighty-Fifth Congress and the Federal Securities Laws, January Meeting of the American Society of Corporate Secretaries, Chicago Chapter, Chicago, Illinois Thomas G. Meeker, General Counsel

http://www.sec.gov/news/speech/speecharchive/1958speech.shtml


Modified: 10/10/2007