Subject: File No. 4-606
From: John R Shelton
Affiliation: Principal, MarketSpace Financial, inc.

August 30, 2010

there must be a clearly defined distinction between a stock broker- or any investment professional- who is a non fiduciary for full public disclosure. all investment professionals must be required to disclose to all clients, on at least an annual basis, how they conduct their business and reveal where all compensation is derived.