(Click here for meetings with SEC officials)
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Oct. 31, 2016 | Ernst & Young LLP |
Oct. 27, 2016 | Sean Davy, Managing Director, Capital Markets Division, Securities Industry and Financial Markets Association (SIFMA) |
Oct. 27, 2016 | Corporate Governance Coalition for Investor Value |
Oct. 27, 2016 | Tom Quaadman, Executive Vice President, Center for Capital Markets Competitiveness, U.S. Chamber of Commerce |
Oct. 27, 2016 | Cathy Scott, Director, Fixed Income Forum, on behalf of The Credit Roundtable |
Oct. 27, 2016 | Richard Johns, Executive Director, Structured Finance Industry Group (SFIG), Washington, District of Columbia |
Oct. 25, 2016 | Penny Somer-Greif, Chair, and Gregory T. Lawrence, Vice-Chair, Committee on Securities Law, Business Law Section of the Maryland State Bar Association |
Oct. 25, 2016 | Davis Polk & Wardwell LLP |
Oct. 24, 2016 | Hector J. Rojas, Student Intern, and Nicole G. Iannarone, Director, Investor Advocacy Clinic, Assistant Clinical Professor, Georgia State University College of Law |
Oct. 18, 2016 | Kenneth A. Bertsch, Executive Director, Council of Institutional Investors |
Oct. 7, 2016 | Reed Smith LLP |
Oct. 5, 2016 | Cynthia M. Fornelli, Executive Director, Center for Audit Quality |
Sep. 24, 2016 | John Wahh |
Sep. 7, 2016 | Jacob Vollmer, MBA, SEC Reporting Consultant, Phoenix, Arizona |
Sep. 1, 2016 | Mary Sue, EDGAR/Compliance Coordinator, Davis Polk & Wardwell LLP, New York, New York |
Aug. 31, 2016 | Veronique Joseph |
Meetings with SEC Officials
(Click here for submitted comments from the public)
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Oct. 13, 2016 |
Memorandum from the Division of Corporation Finance regarding an October 13, 2016, conference call with representatives of the Credit Roundtable
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