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Rules and Related MattersExtension of Temporary Exemptions for Eligible Credit Default Swaps to Facilitate Operation of Central Counterparties to Clear and Settle Credit Default SwapsOn July 1, 2011, the Commission extended until April 16, 2012 the temporary exemptions under the Securities Act of 1933, the Securities Exchange Act of 1934, and the Trust Indenture Act of 1939 for certain credit default swaps to facilitate the operation of one or more central counterparties for those credit default swaps. If the Commission adopts permanent exemptions for security-based swaps issued by certain clearing agencies before April 16, 2012, the Commission will terminate the effectiveness of the temporary rules as part of that rulemaking. The full text of the adopting release can be accessed on the Commission’s website at http://www.sec.gov/rules/interim-final-temp.shtml. (Rels. 33-9232; 34-64800; 39-2476; S7-02-09) Enforcement ProceedingsIn the Matter of Jeffrey R. NeufeldOn July 1, 2011, the Commission issued an Order Instituting Administrative Proceedings Pursuant to Section 203(f) of the Investment Advisers Act of 1940, Making Findings and Imposing Remedial Sanctions (Order) against Jeffrey R. Neufeld (Neufeld). The Order finds that on April 27, 2011, a judgment was entered by consent against Neufeld and Paridon Capital Management, LLC (Paridon), an unregistered investment adviser owned by Neufeld, permanently enjoining them from future violations of Section 17(a) of the Securities Act of 1933, Section 10(b) of the Securities Exchange Act of 1934 and Rule 10b-5 thereunder, and Sections 206(1), 206(2), 206(3), and 206(4) of the Advisers Act and Rule 206(4)-8 thereunder, in the civil action entitled Securities and Exchange Commission v. Jeffrey R. Neufeld, et al., Civil Action Number 10-2399, in the United States District Court for the Northern District of Illinois. The Commission’s complaint alleged, among other things, that since 2006, Neufeld and Paridon reported and disseminated false and fictitious rates of returns and assets under management to investors and prospective investors in the TCM Global Strategy Fund, LP (TCM Fund), an unregistered commodity pool. Neufeld and Paridon used false performance and assets under management to lure prospective investors to join the TCM Fund and continued to report false rates of return to hide trading losses from investors. Neufeld and Paridon also engaged in improper self-dealing by having the TCM Fund purchase $75,000 of “debt securities” from Paridon, the TCM Fund’s general partner and investment adviser. Investors were never told about this purchase, which was actually a loan by the TCM Fund to Paridon. Based on the above, the Order bars Neufeld from association with a broker, dealer, investment adviser, municipal securities dealer, municipal advisor, transfer agent, or nationally recognized statistical rating organization. Neufeld consented to the issuance of the Order without admitting or denying any of the findings therein, except as to the entry of the judgment. (Rel. IA-3230; File No. 3-14449) Commission Revokes Registration of Securities of DATEQ Information Network, Inc. (n/k/a LexisNexis Risk Solutions, Inc.) for Failure to Make Required Periodic FilingsOn July 5, 2011, the Commission revoked the registration of each class of registered securities of DATEQ Information Network, Inc. (n/k/a LexisNexis Risk Solutions, Inc.) (DATEQ Information) for failure to make required periodic filings with the Commission. Without admitting or denying the findings in the Order, except as to jurisdiction, which it admitted, DATEQ Information consented to the entry of an Order Making Findings and Revoking Registration of Securities Pursuant to Section 12(j) of the Securities Exchange Act of 1934 as to DATEQ Information Network, Inc. (n/k/a LexisNexis Risk Solutions, Inc.) finding that it had failed to comply with Section 13(a) of the Securities Exchange Act of 1934 (Exchange Act) and Rules 13a-1 and 13a-13 thereunder and revoking the registration of each class of DATEQ Information’s securities pursuant to Section 12(j) of the Exchange Act. This Order settled the proceedings brought against DATEQ Information in In the Matter of D’Brit Corp., et al., Administrative Proceeding File No. 3-14411. Brokers and dealers should be alert to the fact that Exchange Act Section 12(j) provides, in pertinent part, as follows:
For further information see Order Instituting Administrative Proceedings and Notice of Hearing Pursuant to Section 12(j) of the Securities Exchange Act of 1934, In the Matter of D’Brit Corp., et al., Administrative Proceeding File No. 3-14411, Exchange Act Release No. 64610, June 6, 2011. (Rel. 34-64801; File No. 3-14411) In the Matter of Four Five, LLCThe Securities and Exchange Commission announced that on July 1, 2011, the Honorable J. Owen Forrester, United States District Judge for the Northern District of Georgia, entered an order permanently enjoining Michael L. Rothenberg (Rothenberg) and Four Five, LLC (Four Five) (collectively Defendants). The order restrained and enjoined Defendants from violating of Section 17(a) of the Securities Act of 1933 and Section 10(b) of the Exchange Act of 1934. Defendants were also ordered to pay disgorgement, pre-judgment interest and a civil penalty in amounts to be resolved upon motion of the Commission at a later date, and directed that for purposes of that motion, the allegations of the Commission’s Complaint shall be deemed true. Defendants consented to the entry of the order without admitting or denying the allegations of the Commission’s Complaint. The Commission’s complaint, filed on June 2, 2011, alleges that between at least February 2010 and March 2010, Rothenberg, through Four Five, used misrepresentations and omissions of material fact to induce investors to participate in a secret and allegedly risk-free trading platform or trading facility. This trading platform or trading facility purportedly involved transactions among international banks that would generate substantial return on a recurring basis. Specifically, Rothenberg represented that the trading platform would produce returns in excess of 300% every fourteen days. Rothenberg and Four Five also represented to investors, both orally and in writing, that the majority of their funds would remain at all times in Rothenberg’s attorney trust account, and that all funds invested, along with the profits, would be returned to the investors at the conclusion of the trades. Rothenberg further represented to the investors that the investment was risk-free because their funds would remain in his attorney trust account. Contrary to Defendants’ representations, a risk-free trading process providing the returns promised by Defendants does not exist. Moreover, contrary to Rothenberg’s representations that investor funds would remain in his attorney trust account, Rothenberg began disbursing investor funds within days of receipt of those funds. Between March 2010 and October 2010, at least $210,000 in investor funds were transferred to a bank account designated for contributions to Rothenberg’s judicial election campaign. Rothenberg used another $190,000 of investor funds for personal expenses. Although Rothenberg ultimately returned approximately $910,000 to investors, Defendants have misappropriated at least $800,000 of investor funds. [SEC v. Michael L. Rothenberg, et al., Civil Action Number 1:11-CV-1803-JOF (N.D. GA.)] (LR-22026) Former ArthroCare Corporation Executives Settle Charges Involving Fraudulent Revenue RecognitionOn June 27, 2011, the Securities and Exchange Commission charged John Raffle and David Applegate, former senior vice presidents of ArthroCare Corporation, with conducting a scheme to materially misstate ArthroCare’s publicly reported revenue and earnings. Without admitting or denying the Commission’s allegations, Raffle settled by consenting to a judgment permanently enjoining him from violating Section 17(a) of the Securities Act of 1933 (Securities Act) and 13(b)(5) of the Securities Exchange Act of 1934 (Exchange Act) and Rules 13b2-1, and 13b2-2 thereunder, and from aiding and abetting violations of Exchange Act Sections 10(b), 13(a), 13(b)(2)(A), and 13(b)(2)(B), and Rules 10b-5, 12b-20, 13a-1 and 13a-13 thereunder. The judgment also orders him to pay $1,782,742.43 in disgorgement plus prejudgment interest of $329,230.44, but waives payment of all but $175,000 of this amount, and does not impose a civil penalty, based upon his sworn financial statements. Applegate also agreed to settle, without admitting or denying the Commission’s allegations, by consenting to a judgment permanently enjoining him from violating Section 17(a) of the Securities Act and aiding and abetting violations of Sections 10(b), 13(a), 13(b)(2)(A), and 13(b)(2)(B) of the Exchange Act and Rules 10b-5, 12b-20, 13a-1 and 13a-13 thereunder. The judgment orders him to pay $621,754.60 in disgorgement plus prejudgment interest of $106,469.70, but waives payment of all but $55,000 of this amount, and does not impose a civil penalty, based upon his sworn financial statements. Raffle and Applegate both will be barred from serving as officers or directors of public companies for five years. The Commission also settled with Raffle’s ex-wife, Kathy Raffle, to recover $200,000 of incentive compensation and profits from sales of ArthroCare stock John Raffle obtained during the course of the earnings management scheme, which Kathy Raffle received in a divorce agreement. The Commission does not allege any wrongdoing by Kathy Raffle. The proposed judgments are subject to court approval. [SEC v. John Raffle, David Applegate, and Kathy Raffle (Relief Defendant), Civil Action No. 1:11-cv-540 (W.D. Tex.)] (LR-22027; AAE Rel. 3299) Investment Company Act ReleasesPrecidian ETFs Trust (formerly Next ETFS Trust), et al.An order has been issued on an application filed by Precidian ETFs Trust, et al. to permit: (a) certain open-end management investment companies or series thereof to issue shares that can be redeemed in large aggregations only (Creation Units); (b) secondary market transactions in shares to occur at negotiated market prices; (c) certain series to pay redemption proceeds, under certain circumstances, more than seven days after the tender of shares for redemption; (d) certain affiliated persons of the series to deposit securities into, and receive securities from, the series in connection with the purchase and redemption of Creation Units; and (e) certain registered management investment companies and unit investment trusts outside of the same group of investment companies as the series to acquire shares of the series. (Rel. IC-29712 – July 1) Self-Regulatory OrganizationsImmediate Effectiveness of Proposed Rule ChangesA proposed rule change filed by Financial Industry Regulatory Authority (SR-FINRA-2011-030) to update certain cross-references and make non-substantive technical changes to certain FINRA rules has become effective pursuant to Section 19(b)(3)(A) of the Securities Exchange Act of 1934. Publication is expected in the Federal Register during the week of July 4. (Rel. 34-64777) A proposed rule change filed by NYSE Arca (SR-NYSEArca-2011-40) amending certain rules and adding new rules so that they remain substantially similar to corresponding Financial Industry Regulatory Authority rules in accordance with a Rule 17d-2 agreement has become effective under Section 19(b)(3)(A) of the Securities Exchange Act of 1934. Publication is expected in the Federal Register during the week of July 4. (Rel. 34-64780) A proposed rule change filed by The NASDAQ Stock Market to modify its co-location fee schedule to establish fees for access to market data feeds from the Toronto Stock Exchange and the TSX Venture Exchange (SR-NASDAQ-2011-087) has become effective pursuant to Section 19(b)(3)(A) of the Securities Exchange Act of 1934. Publication is expected in the Federal Register during the week of July 4. (Rel. 34-64789) A proposed rule change, filed by NASDAQ OMX PHLX relating to Qualified Contingent Cross Transaction Fees (SR-Phlx-2011-84) has become effective pursuant to Section 19(b)(3)(A) of the Securities Exchange Act of 1934. Publication is expected in the Federal Register during the week of July 4. (Rel. 34-64790) A proposed rule change filed by EDGX Exchange to make available without charge the EDGX Book Feed and to add a description of the EDGX Book Feed to new Rule 13.8 (SR-EDGX-2011-18) has become effective pursuant to Section 19(b)(3)(A) of the Securities Exchange Act of 1934. Publication is expected in the Federal Register during the week of July 4. (Rel. 34-64791) A proposed rule change filed by EDGA Exchange to make available without charge the EDGA Book Feed and to add a description of the EDGA Book Feed to new Rule 13.8 (SR-EDGA-2011-19) has become effective pursuant to Section 19(b)(3)(A) of the Securities Exchange Act of 1934. Publication is expected in the Federal Register during the week of July 4. (Rel. 34-64792) A proposed rule change filed by New York Stock Exchange (SR-NYSE-2011-31) amending exchange Rule 1000(a)(iv) to provide for a different Liquidity Replenishment Point value range during the first day of trading of an initial public offering on the Exchange has become immediately effective under Section 19(b)(3)(A) of the Securities Exchange Act of 1934. Publication is expected in the Federal Register during the week of July 4. (Rel. 34-64793) A proposed rule change filed by NYSE Amex (SR-NYSEAmex-2011-46) amending NYSE Amex Equities Rule 1000(a)(iv) to provide for a different Liquidity Replenishment Point value range during the first day of trading of an initial public offering on the Exchange has become immediately effective under Section 19(b)(3)(A) of the Securities Exchange Act of 1934. Publication is expected in the Federal Register during the week of July 4. (Rel. 34-64797) Proposed Rule ChangeNASDAQ OMX PHLX filed a proposed rule change under Rule 19b-4 (SR-Phlx-2011-89) relating to Alpha Index Options. Publication is expected in the Federal Register during the week of July 4. (Rel. 34-64788) Securities Act RegistrationsThe following registration statements have been filed with the SEC under the Securities Act of 1933. The reported information appears as follows: Form, Name, Address and Phone Number (if available) of the issuer of the security; Title and the number and/or face amount of the securities being offered; Name of the managing underwriter or depositor (if applicable); File number and date filed; Assigned Branch; and a designation if the statement is a New Issue. Registration statements may be viewed in person in the Commission's Public Reference Branch at 100 F Street, N.E., Washington, D.C. To obtain paper copies, please refer to information on the Commission's Web site at http://www.sec.gov/answers/publicdocs.htm. In most cases, you can view and download this information by using the search function located at http://www.sec.gov/edgar/searchedgar/companysearch.html. S-4 DISH DBS CORP, 9601 S. MERIDIAN BLVD., ENGLEWOOD, CO, 80112, 3037231277 - 0 ($2,000,000,000.00) Debt, (File 333-175277 - Jul. 1) (BR. 11C) S-8 Orchids Paper Products CO /DE, 4826 HUNT STREET, PRYOR, OK, 74361, 918-825-0616 - 200,000 ($2,346,000.00) Equity, (File 333-175278 - Jul. 1) (BR. 09B) S-1 LOGIC DEVICES Inc, 1375 GENEVA DRIVE, SUNNYVALE, CA, 94089, 4085425400 - 1,740,000 ($974,400.00) Equity, (File 333-175281 - Jul. 1) (BR. 10B) S-3ASR ATP OIL & GAS CORP, 4600 POST OAK PL, STE 200, HOUSTON, TX, 77027, 7136223311 - 0 ($0.00) Equity, (File 333-175282 - Jul. 1) (BR. 04C) S-3 Atrinsic, Inc., 469 7TH AVENUE, 10TH FLOOR, NEW YORK, NY, 10018, (212) 716-1977 - 7,931,928 ($20,385,054.96) Equity, (File 333-175283 - Jul. 1) (BR. 02A) S-1 NOVELOS THERAPEUTICS, INC., ONE GATEWAY CENTER, SUITE 504, NEWTON, MA, 02458, 617-244-1616 - 0 ($17,250,000.00) Equity, (File 333-175284 - Jul. 1) (BR. 01A) S-8 MOVE INC, 805-557-2300 - 0 ($60,817,925.40) Equity, (File 333-175285 - Jul. 1) (BR. 08A) S-3ASR Marathon Petroleum Corp, 539 SOUTH MAIN STREET, FINDLAY, OH, 45840-3229, 419-422-2121 - 1,100,000 ($40,997,000.00) Equity, (File 333-175286 - Jul. 1) (BR. 04B) S-3ASR Marathon Petroleum Corp, 539 SOUTH MAIN STREET, FINDLAY, OH, 45840-3229, 419-422-2121 - 6,000,000 ($223,620,000.00) Equity, (File 333-175287 - Jul. 1) (BR. 04B) S-3 AtriCure, Inc., 6217 CENTRE PARK DRIVE, WEST CHESTER, OH, 45069, 513-755-4107 - 0 ($90,316,213.00) Unallocated (Universal) Shelf, (File 333-175288 - Jul. 1) (BR. 10A) S-3ASR Marathon Petroleum Corp, 539 SOUTH MAIN STREET, FINDLAY, OH, 45840-3229, 419-422-2121 - 0 ($0.00) Unallocated (Universal) Shelf, (File 333-175289 - Jul. 1) (BR. 04B) S-4 FREESCALE SEMICONDUCTOR INC, 6501 WILLIAM CANNON DRIVE, AUSTIN, TX, 78735, 5128952000 - 0 ($1,237,500,000.00) Non-Convertible Debt, (File 333-175290 - Jul. 1) (BR. 10B) S-8 High Plains Gas, Inc., 3100 SOUTHERN DRIVE, GILLETTE, WY, 82718, 307-686-5030 - 500,000 ($410,000.00) Equity, (File 333-175291 - Jul. 1) (BR. 04C) S-8 WESTAR ENERGY INC /KS, 818 KANSAS AVE, TOPEKA, KS, 66612, 7855756300 - 0 ($85,962,500.00) Equity, (File 333-175293 - Jul. 1) (BR. 02B) S-8 CAMAC Energy Inc., 1330 POST OAK BLVD., SUITE 2575, HOUSTON, TX, 77056, 713-797-2940 - 6,000,000 ($7,500,000.00) Equity, (File 333-175294 - Jul. 1) (BR. 04C) S-8 CHENIERE ENERGY INC, 700 MILAM ST., SUITE 800, HOUSTON, TX, 77002, 7133755000 - 10,000,000 ($79,200,000.00) Equity, (File 333-175297 - Jul. 1) (BR. 04A) S-1 ZYNGA INC, 444 DE HARO STREET, SUITE 125, SAN FRANCISCO, CA, 94107, 800-762-2530 - 0 ($1,000,000,000.00) Equity, (File 333-175298 - Jul. 1) (BR. ) S-1 TILLY'S, INC., 10 WHATNEY, IRVINE, CA, 92618, (949) 609-5599 - 0 ($100,000,000.00) Equity, (File 333-175299 - Jul. 1) (BR. ) F-1 Rampart Detection Systems Ltd., SUITE 203 - 22242 48TH AVE, MURRAYVILLE, A1, V3A 3N5, 604-533-5533 - 300,000 ($120,000.00) Equity, (File 333-175300 - Jul. 1) (BR. ) S-1 MICRO IMAGING TECHNOLOGY, INC., 23456 S POINTE DR, LAGUNA HILLS, CA, 92653-1512, 9497709347 - 40,000,000 ($160,000.00) Equity, (File 333-175302 - Jul. 1) (BR. 03A) S-8 American Electric Technologies Inc, 6410 LONG DRIVE, HOUSTON, TX, 77087, 713-644-8182 - 75,000 ($257,250.00) Equity, (File 333-175303 - Jul. 1) (BR. 10A) S-8 MODINE MANUFACTURING CO, 1500 DEKOVEN AVE, RACINE, WI, 53403, 2626361200 - 1,000,000 ($14,470,000.00) Equity, (File 333-175304 - Jul. 1) (BR. 05B) S-4 Public Storage, 701 WESTERN AVENUE, GLENDALE, CA, 91201-2349, 818-244-8080 - 0 ($99,657.49) Equity, (File 333-175305 - Jul. 1) (BR. 08C) S-1 Sport Tech Enterprises, Inc., 10321 RUNNING FALLS, LAS VEGAS, NV, 89178, 702-272-0512 - 8,410,800 ($2,523,240.00) Equity, (File 333-175306 - Jul. 1) (BR. ) S-1 World Surveillance Group Inc., 1400 STATE ROAD 405, BLDG M6-306A, KENNEDY SPACE CENTER, FL, 32815, 321.452.3545 - 22,588,332 ($2,371,775.00) Equity, (File 333-175307 - Jul. 1) (BR. 11A) S-8 CHINA EDUCATION ALLIANCE INC., 58 HENG SHAN RD., KUN LUN SHOPPING MALL, HARBIN, F4, 150090, 86451-82335794 - 1,000,000 ($860,000.00) Equity, (File 333-175308 - Jul. 1) (BR. 11A) S-1 Manning & Napier, Inc., 290 WOODCLIFF DRIVE, FAIRPORT, NY, 14450, (585) 325-6880 - 0 ($250,000,000.00) Equity, (File 333-175309 - Jul. 1) (BR. ) S-8 QUEPASA CORP, 324 DATURA STREET, SUITE 114, WEST PALM BEACH, FL, 33401, 561-491-4181 - 2,000,000 ($12,990,000.00) Equity, (File 333-175310 - Jul. 1) (BR. 11A) S-8 CLOUD PEAK ENERGY INC., 505 SOUTH GILLETTE AVE., GILLETTE, WY, 82716, 307-687-6000 - 0 ($10,205,000.00) Equity, (File 333-175311 - Jul. 1) (BR. 04A) S-8 CLOUD PEAK ENERGY INC., 505 SOUTH GILLETTE AVE., GILLETTE, WY, 82716, 307-687-6000 - 0 ($42,861,000.00) Equity, (File 333-175312 - Jul. 1) (BR. 04A) S-1 Westpoint Energy, Inc., 871 CORONADO CENTER DRIVE, SUITE 200, HENDERSON, NV, 89052, 702-940-2333 - 5,740,000 ($574,000.00) Equity, (File 333-175313 - Jul. 1) (BR. ) S-8 TECHE HOLDING CO, 211 WILLOW ST, FRANKLIN, LA, 70538, 3188283212 - 250,000 ($8,610,000.00) Equity, (File 333-175315 - Jul. 1) (BR. 07B) S-3 Cogdell Spencer Inc., 4401 BARCLAY DOWNS DRIVE, SUITE 300, CHARLOTTE, NC, 28209-4670, 704-940-2900 - 0 ($1.00) Equity, (File 333-175316 - Jul. 1) (BR. 08C) S-3ASR MICROVISION INC, 6222 185TH AVE NE, REDMOND, WA, 98052, 425-936-6847 - 0 ($35,000,000.00) Equity, (File 333-175317 - Jul. 1) (BR. 10B) S-8 WESTBRIDGE RESEARCH GROUP, 1260 AVENIDA CHELSEA, VISTA, CA, 92081, 7605998855 - 92,688 ($376,313.00) Equity, (File 333-175318 - Jul. 1) (BR. 05B) S-8 VALUEVISION MEDIA INC, 6740 SHADY OAK RD, MINNEAPOLIS, MN, 55344-3433, 6129475200 - 3,000,000 ($22,590,000.00) Equity, (File 333-175319 - Jul. 1) (BR. 02A) S-8 VALUEVISION MEDIA INC, 6740 SHADY OAK RD, MINNEAPOLIS, MN, 55344-3433, 6129475200 - 675,000 ($2,845,000.00) Equity, (File 333-175320 - Jul. 1) (BR. 02A) S-8 SAPIENT CORP, 131 DARTMOUTH ST., BOSTON, MA, 02116, (617) 621-0200 - 0 ($187,313,399.00) Equity, (File 333-175321 - Jul. 1) (BR. 03C) S-8 First California Financial Group, Inc., 3027 TOWNSGATE ROAD, SUITE 300, WESTLAKE VILLAGE, CA, 91361, 805-437-4293 - 2,000,000 ($7,080,000.00) Equity, (File 333-175322 - Jul. 1) (BR. 07A) S-8 US AIRWAYS GROUP INC, 111 WEST RIO SALADO PARKWAY, TEMPE, AZ, 85281, 4806930800 - 0 ($136,115,481.00) Equity, (File 333-175323 - Jul. 1) (BR. 05C) S-8 FIRST POTOMAC REALTY TRUST, 7600 WISCONSIN AVENUE, 11TH FLOOR, BETHESDA, MD, 20814, 3019869200 - 4,500,000 ($68,040,000.00) Equity, (File 333-175324 - Jul. 1) (BR. 08B) S-3 Hudson Pacific Properties, Inc., 11601 WILSHIRE BLVD., SUITE 1600, LOS ANGELES, CA, 90025, (310) 445-5700 - 0 ($1,000,000,000.00) Unallocated (Universal) Shelf, (File 333-175326 - Jul. 1) (BR. 08A) S-3 Two Harbors Investment Corp., 601 CARLSON PARKWAY, SUITE 330, MINNETONKA, MN, 55305, 612-238-3300 - 0 ($1,500,000,000.00) Equity, (File 333-175327 - Jul. 1) (BR. 08A) S-1 Li3 Energy, Inc., AV. PARDO Y ALIAGA, 699 OF. 802, LIMA 27, R5, 00000, 011 (511) 212-1880 - 86,965,136 ($20,001,982.00) Equity, (File 333-175329 - Jul. 1) (BR. 06C) S-3ASR FIRST POTOMAC REALTY TRUST, 7600 WISCONSIN AVENUE, 11TH FLOOR, BETHESDA, MD, 20814, 3019869200 - 0 ($0.00) Unallocated (Universal) Shelf, (File 333-175330 - Jul. 1) (BR. 08B) S-4 CINEMARK USA INC /TX, 3900 DALLAS PARKWAY SUITE 500, PLANO, TX, 75093, 972-665-1000 - 0 ($200,000,000.00) Non-Convertible Debt, (File 333-175331 - Jul. 1) (BR. 05A) S-3ASR FIRST POTOMAC REALTY TRUST, 7600 WISCONSIN AVENUE, 11TH FLOOR, BETHESDA, MD, 20814, 3019869200 - 0 ($24,941,815.92) Equity, (File 333-175332 - Jul. 1) (BR. 08B) Recent 8K FilingsForm 8-K is used by companies to file current reports on the following events:
8-K reports may be viewed in person in the Commission's Public Reference Branch at 100 F Street, N.E., Washington, D.C. To obtain paper copies, please refer to information on the Commission's Web site at http://www.sec.gov/answers/publicdocs.htm. In most cases, you can view and download this information by using the search function located at http://www.sec.gov/edgar/searchedgar/companysearch.html. STATE NAME OF ISSUER CODE 8K ITEM NO. DATE COMMENT ACACIA RESEARCH CORP DE 8.01 06/29/11 ACACIA RESEARCH CORP DE 8.01 06/29/11 ACACIA RESEARCH CORP DE 8.01 06/29/11 ACORDA THERAPEUTICS INC 1.01,9.01 06/27/11 ACURA PHARMACEUTICALS, INC NY 8.01,9.01 07/01/11 ADHEREX TECHNOLOGIES INC 5.07 06/28/11 Advaxis, Inc. DE 8.01,9.01 06/30/11 ALBANY MOLECULAR RESEARCH INC DE 8.01 06/28/11 Aleris International, Inc. DE 1.01,2.03,9.01 06/30/11 ALLETE INC MN 8.01,9.01 06/29/11 AMBIENT CORP /NY DE 5.02 06/27/11 AMC Networks Inc. DE 1.01,2.03,5.02,5.03, 06/28/11 8.01,9.01 American Assets Trust, Inc. MD 7.01,9.01 07/01/11 AMERICAN AXLE & MANUFACTURING HOLDING DE 1.01,9.01 07/01/11 AMERICAN BAR ASSOCIATION MEMBERS / NO IL 1.01,9.01 06/28/11 AMERICAN CRYOSTEM Corp NV 9.01 07/01/11 AMEND AMERICAN LEARNING Corp NY 3.02,9.01 06/30/11 American Liberty Petroleum Corp. NV 1.01,9.01 06/27/11 AMERISOURCEBERGEN CORP DE 5.02,9.01 07/01/11 Ampio Pharmaceuticals, Inc. DE 7.01,9.01 06/27/11 ANAREN INC NY 5.02,9.01 06/28/11 ANCHOR BANCORP WISCONSIN INC WI 2.02,9.01 06/28/11 API Technologies Corp. DE 1.01,2.03,3.02,8.01, 06/27/11 9.01 Apple REIT Eight, Inc. VA 2.02,8.01,9.01 07/01/11 Apple REIT Nine, Inc. VA 2.02,9.01 07/01/11 Apple REIT Seven, Inc. VA 2.02,9.01 07/01/11 APPLE REIT SIX INC 2.02,8.01,9.01 07/01/11 APPLIED MATERIALS INC /DE DC 5.07 03/08/11 AMEND ARRHYTHMIA RESEARCH TECHNOLOGY INC /D DE 5.03 06/24/11 ARTHROCARE CORP DE 8.01 06/30/11 ARTIFICIAL LIFE INC DE 4.01,9.01 06/27/11 ASTORIA FINANCIAL CORP DE 8.01,9.01 07/01/11 ASTRO MED INC /NEW/ RI 8.01,9.01 07/01/11 Atlas Therapeutics Corp NV 3.02,8.01,9.01 06/27/11 Atrinsic, Inc. DE 8.01,9.01 06/30/11 ATWOOD OCEANICS INC TX 7.01,9.01 07/01/11 Augme Technologies, Inc. DE 5.03,5.07,9.01 06/28/11 AVANIR PHARMACEUTICALS, INC. DE 8.01 06/30/11 Avery Dennison Corp DE 5.02 06/29/11 AvStar Aviation Group, Inc. CO 2.02,8.01,9.01 07/01/11 AZZ INC TX 2.02,8.01,9.01 06/30/11 BA Credit Card Funding, LLC DE 6.02 06/30/11 Babcock & Wilcox Co DE 5.02,9.01 06/29/11 BANK OF KENTUCKY FINANCIAL CORP KY 7.01,9.01 07/01/11 BB&T CORP NC 8.01,9.01 07/01/11 BEHRINGER HARVARD MULTIFAMILY REIT I 1.01,8.01 06/28/11 BIOCRYST PHARMACEUTICALS INC DE 1.01,9.01 06/28/11 BIOJECT MEDICAL TECHNOLOGIES INC OR 1.01,2.03,3.02,9.01 06/29/11 BIOMIMETIC THERAPEUTICS, INC. DE 1.01,9.01 07/01/11 BLACKBOARD INC DE 1.01,7.01,9.01 06/30/11 BLUEGREEN CORP MA 8.01 06/30/11 Bohai Pharmaceuticals Group, Inc. NV 4.01,9.01 06/24/11 AMEND BRIDGE BANCORP INC NY 5.07 05/06/11 AMEND CABLEVISION SYSTEMS CORP /NY DE 1.01,2.01,9.01 06/30/11 CALIFORNIA WATER SERVICE GROUP DE 1.01,1.02,2.03,8.01, 06/29/11 9.01 CAMPBELL SOUP CO NJ 5.02,9.01 07/01/11 CANTERBURY PARK HOLDING CORP MN 8.01,9.01 07/01/11 Capstone Therapeutics Corp. DE 5.07,8.01 06/28/11 Cardiovascular Systems Inc DE 3.02 06/30/11 CDW Corp DE 5.02,7.01,9.01 06/30/11 Celsion CORP DE 7.01,9.01 07/01/11 China Health Industries Holdings, Inc 4.01,9.01 06/24/11 AMEND CHINA NUVO SOLAR ENERGY INC NV 3.03,9.01 07/01/11 Chrysler Group LLC DE 8.01,9.01 07/01/11 Circle Entertainment, Inc. DE 8.01 06/27/11 CLEAN DIESEL TECHNOLOGIES INC DE 1.01,3.02,8.01,9.01 06/28/11 CLOUD PEAK ENERGY INC. DE 1.01,2.03,9.01 06/30/11 CNO Financial Group, Inc. DE 7.01 07/01/11 COLE CORPORATE INCOME TRUST, INC. MD 1.01,2.01,2.03,8.01, 06/29/11 9.01 COMCAST CORP PA 5.02,9.01 06/30/11 COMMUNITY WEST BANCSHARES / CA 5.02 06/27/11 COMPUTER TASK GROUP INC NY 7.01,9.01 07/01/11 COMSCORE, INC. DE 1.01,2.03 06/30/11 Convio, Inc. DE 5.02 06/24/11 COSTAR GROUP INC DE 8.01 06/30/11 CPI AEROSTRUCTURES INC NY 1.01 06/29/11 Crexendo, Inc. DE 8.01,9.01 07/01/11 AMEND Crocs, Inc. 5.02,5.07,9.01 06/28/11 CROSSTEX ENERGY INC DE 5.02,9.01 07/01/11 CROSSTEX ENERGY LP DE 5.02,9.01 07/01/11 CUBIC ENERGY INC TX 5.02 06/30/11 CUBIST PHARMACEUTICALS INC DE 1.01 06/29/11 Cyclacel Pharmaceuticals, Inc. DE 1.01,8.01,9.01 06/30/11 CYTODYN INC CO 8.01 07/01/11 DEERE & CO DE 7.01 07/01/11 DENDREON CORP DE 8.01,9.01 06/29/11 DEVELOPERS DIVERSIFIED REALTY CORP OH 1.01,2.03,9.01 06/28/11 DIGITAL VALLEYS CORP NV 5.03,7.01,9.01 07/01/11 Domark International Inc. NV 1.01,9.01 06/30/11 Domark International Inc. NV 8.01 06/30/11 DUCOMMUN INC /DE/ DE 1.01,1.02,2.01,2.03, 06/28/11 8.01,9.01 Duke Energy CORP DE 8.01,9.01 07/01/11 DUSA PHARMACEUTICALS INC NJ 1.01,2.01 06/30/11 EAGLE MATERIALS INC DE 5.02 06/27/11 EASTERN RESOURCES INC DE 3.02 04/27/11 EASTMAN KODAK CO NJ 8.01,9.01 06/30/11 ECB BANCORP INC NC 8.01,9.01 06/30/11 EGAIN COMMUNICATIONS CORP DE 1.01,9.01 06/27/11 EMMAUS HOLDINGS, INC. DE 5.02 06/21/11 ENNIS, INC. TX 5.07 06/30/11 ENPRO INDUSTRIES, INC NC 8.01,9.01 06/30/11 EPL Intermediate, Inc. DE 8.01 07/01/11 EQUITY LIFESTYLE PROPERTIES INC MD 1.01,2.01,2.03,3.02, 07/01/11 5.03,9.01 ETERNITY HEALTHCARE INC. NV 4.01,9.01 06/30/11 EVOLVING SYSTEMS INC DE 2.01,5.02,8.01,9.01 07/01/11 ExamWorks Group, Inc. DE 2.01,9.01 05/10/11 AMEND EXERCISE FOR LIFE SYSTEMS, INC. NC 1.01,2.01,3.02,5.01, 02/10/11 AMEND 5.02 EXTREME NETWORKS INC DE 5.02 06/27/11 FedFirst Financial Corp 5.02 06/30/11 FINANCIAL INSTITUTIONS INC NY 8.01 07/01/11 First Guaranty Bancshares, Inc. LA 2.01,9.01 07/01/11 FIRST NIAGARA FINANCIAL GROUP INC DE 2.01,9.01 04/15/11 AMEND FIRST POTOMAC REALTY TRUST MD 8.01,9.01 07/01/11 FIRST SECURITY GROUP INC/TN TN 5.02,9.01 06/28/11 Forbes Energy Services Ltd. D0 5.07,8.01 06/27/11 Ford Credit Auto Lease Trust 2011-A DE 1.01,9.01 06/29/11 FORD MOTOR CO DE 8.01,9.01 07/01/11 FORD MOTOR CREDIT CO LLC DE 8.01,9.01 07/01/11 FRONTIER OIL CORP /NEW/ WY 2.04,3.01,3.03,5.01, 07/01/11 5.02,5.03,9.01 FRONTIER OIL CORP /NEW/ WY 1.01,1.02,2.03 07/01/11 Fushi Copperweld, Inc. NV 1.01,9.01 06/27/11 G III APPAREL GROUP LTD /DE/ DE 1.01,5.02,9.01 06/29/11 GENERAL METALS CORP DE 5.02 07/01/11 GENERAL MILLS INC DE 5.02 06/28/11 GEOGLOBAL RESOURCES INC. DE 8.01,9.01 06/30/11 GERMAN AMERICAN BANCORP, INC. IN 5.02,5.03,8.01,9.01 06/27/11 GERMAN AMERICAN BANCORP, INC. IN 5.07 05/19/11 AMEND GLOBAL 8 ENVIRONMENTAL TECHNOLOGIES, NV 8.01 06/28/11 Global Growth Trust, Inc. MD 5.03,8.01,9.01 06/30/11 Global Income Trust, Inc. MD 5.03,8.01,9.01 06/30/11 GLOWPOINT INC DE 3.02 06/30/11 GNC HOLDINGS, INC. DE 5.02 06/28/11 GOLD HORSE INTERNATIONAL, INC. FL 5.02 07/01/11 GOLDMAN SACHS GROUP INC DE 9.01 07/01/11 GRAN TIERRA ENERGY, INC. NV 5.07 06/28/11 Great Lakes Dredge & Dock CORP DE 5.02,9.01 06/27/11 GREAT WEST LIFE & ANNUITY INSURANCE C CO 5.02 06/30/11 Green Energy Management Services Hold DE 8.01 06/28/11 HALLMARK FINANCIAL SERVICES INC NV 7.01,8.01,9.01 07/01/11 HAWAIIAN ELECTRIC INDUSTRIES INC HI 8.01 07/01/11 HAWAIIAN HOLDINGS INC DE 1.01,2.03 06/27/11 HEALTH MANAGEMENT ASSOCIATES INC DE 1.01 06/30/11 Helios & Matheson Information Technol DE 3.01 06/27/11 HENRY SCHEIN INC DE 1.01,9.01 06/30/11 High Plains Gas, Inc. NV 5.07 06/30/11 High Plains Gas, Inc. NV 1.01,9.01 07/01/11 High Plains Gas, Inc. NV 1.01,9.01 07/01/11 HQ SUSTAINABLE MARITIME INDUSTRIES, I DE 3.01,7.01,9.01 06/24/11 Hubei Minkang Pharmaceutical Ltd. NV 1.01,3.02,9.01 06/28/11 Hudson Pacific Properties, Inc. MD 9.01 07/01/11 HUMANA INC DE 5.07 07/01/11 AMEND IF Bancorp, Inc. MD 8.01,9.01 07/01/11 Industrial Income Trust Inc. MD 1.01 07/01/11 INNOCAP INC NV 5.06 07/01/11 INOVIO PHARMACEUTICALS, INC. 5.02,9.01 07/01/11 INTEGRATED ELECTRICAL SERVICES INC DE 5.02,9.01 06/30/11 Intellicheck Mobilisa, Inc. DE 5.02,9.01 07/01/11 INTERNATIONAL SHIPHOLDING CORP DE 1.01,2.03 06/29/11 IRON MOUNTAIN INC DE 1.01,1.02,2.03 07/01/11 ISECURETRAC CORP DE 1.01,3.02,5.03,9.01 06/30/11 JEFFERIES GROUP INC /DE/ DE 2.01 07/01/11 KAISER ALUMINUM CORP DE 5.02 06/28/11 Kandi Technologies Corp DE 5.02 06/30/11 KB HOME DE 7.01,9.01 06/30/11 KRAFT FOODS INC VA 5.02 06/28/11 LABORATORY CORP OF AMERICA HOLDINGS DE 7.01 07/01/11 LGL GROUP INC DE 5.02 06/28/11 Li3 Energy, Inc. NV 1.01,3.02,5.02,8.01, 06/27/11 9.01 LIFE TIME FITNESS INC MN 1.01,2.03 06/30/11 LINCARE HOLDINGS INC DE 8.01,9.01 07/01/11 Lithium Exploration Group, Inc. NV 1.01,3.02,9.01 06/29/11 LoopNet, Inc. DE 8.01 06/30/11 LUBRIZOL Corp OH 8.01,9.01 06/28/11 lululemon athletica inc. DE 5.03,9.01 07/01/11 Manitex International, Inc. MI 1.01,2.03,9.01 06/27/11 MARATHON OIL CORP DE 1.01,2.01,5.02,9.01 06/30/11 Marathon Petroleum Corp DE 1.01,8.01,9.01 06/30/11 Marathon Petroleum Corp DE 7.01 06/30/11 MARKETING WORLDWIDE CORP DE 1.01,9.01 06/29/11 MARVELL TECHNOLOGY GROUP LTD D0 5.02,5.07,8.01,9.01 06/28/11 MAXIMUS INC VA 7.01,9.01 06/28/11 MAYFAIR MINING & MINERALS INC NV 1.01,9.01 07/01/11 MGM Resorts International DE 5.02 06/30/11 MOBILE MINI INC DE 5.07 06/28/11 Morningstar, Inc. IL 7.01 07/01/11 MOTRICITY INC DE 5.02 06/29/11 NATIONAL RETAIL PROPERTIES, INC. MD 8.01,9.01 06/28/11 NATIONWIDE HEALTH PROPERTIES INC MD 5.07,8.01 07/01/11 NEOMEDIA TECHNOLOGIES INC DE 1.01,3.02,9.01 06/28/11 Net Element, Inc. DE 5.07,9.01 06/28/11 NET TALK.COM, INC. FL 2.03,3.02,9.01 06/30/11 NEULION, INC. 1.01,3.02,5.03,5.07, 06/28/11 9.01 NEUSTAR INC 7.01,9.01 07/01/11 NEW YORK TIMES CO NY 8.01 07/01/11 NEWELL RUBBERMAID INC DE 5.02,9.01 06/28/11 NEWMONT MINING CORP /DE/ DE 8.01 06/27/11 NORTEL NETWORKS CORP 1.01,8.01 06/30/11 NORTH BAY RESOURCES INC DE 1.02,9.01 06/30/11 NORTH BAY RESOURCES INC DE 1.01,2.01,9.01 07/01/11 North China Horticulture, Inc. F4 1.01,9.01 06/23/11 Northfield Bancorp, Inc. X1 5.02,9.01 07/01/11 NYSE Euronext DE 8.01 07/01/11 O REILLY AUTOMOTIVE INC 7.01,9.01 07/01/11 OLD LINE BANCSHARES INC MD 9.01 04/01/11 AMEND ON-AIR IMPACT, INC. NV 4.02 06/27/11 OPHTHALMIC IMAGING SYSTEMS CA 4.02 04/13/11 AMEND ORTHOVITA INC 1.02,3.01,3.03,5.01, 06/27/11 5.02,5.03,9.01 OVERLAND STORAGE INC CA 8.01 06/29/11 OXIS INTERNATIONAL INC DE 5.02,9.01 06/27/11 OXYGEN BIOTHERAPEUTICS, INC. DE 1.01,2.03,3.02,8.01, 06/16/11 AMEND 9.01 PACIFIC CAPITAL BANCORP /CA/ DE 5.02 06/30/11 Pacific Ethanol, Inc. DE 1.01,1.02,2.03,3.02, 06/30/11 9.01 PACIFIC GAS & ELECTRIC Co CA 8.01 06/30/11 Parametric Sound Corp NV 3.02,9.01 06/30/11 PAXTON ENERGY INC NV 5.02,8.01,9.01 06/07/11 PC MALL INC DE 1.01,2.03,9.01 06/28/11 PDC 2005-A Limited Partnership WV 2.01,5.01,5.02 06/27/11 PDC 2005-B Limited Partnership WV 2.01,5.01,5.02 06/27/11 People's United Financial, Inc. DE 5.02,8.01,9.01 07/01/11 PEOPLES FINANCIAL SERVICES CORP. PA 9.01 06/30/11 PERFICIENT INC DE 7.01,9.01 07/01/11 PG&E CORP CA 8.01 06/30/11 PINNACLE WEST CAPITAL CORP AZ 5.07 05/18/11 AMEND PMI GROUP INC DE 8.01 07/01/11 PREMIER FINANCIAL BANCORP INC KY 2.03,9.01 06/30/11 Premier Power Renewable Energy, Inc. DE 3.02,5.03,9.01 06/29/11 PREMIERWEST BANCORP OR 7.01 07/01/11 Primoris Services Corp DE 8.01 06/30/11 ProUroCare Medical Inc. NV 1.01,2.03,5.02,9.01 06/27/11 PRUDENTIAL FINANCIAL INC NJ 8.01,9.01 07/01/11 QR Energy, LP DE 5.02 06/29/11 RADIENT PHARMACEUTICALS Corp DE 1.01,2.03,3.02,5.03, 06/29/11 9.01 RAIT Financial Trust MD 3.03,5.03,8.01,9.01 06/29/11 Reliance Bancshares, Inc. MO 5.02 06/30/11 REPUBLIC BANCORP INC /KY/ KY 1.01,9.01 06/29/11 RESOURCE HOLDINGS, INC. NV 1.01,2.03,9.01 06/23/11 Rockies Region Private LP 2.01,5.01,5.02 06/27/11 ROSETTA STONE INC 8.01 06/27/11 RUBY TUESDAY INC GA 1.01,5.02,9.01 06/30/11 SABA SOFTWARE INC DE 1.01,2.03,9.01 06/28/11 SAIC, Inc. 7.01,9.01 06/29/11 Santaro Interactive Entertainment Co NV 1.01,3.02,9.01 06/27/11 Sara Lee Corp MD 5.03 06/30/11 SCOTTS MIRACLE-GRO CO OH 1.01,1.02,2.03,7.01, 06/30/11 9.01 SEALY CORP DE 7.01,9.01 07/01/11 SEMPRA ENERGY CA 5.02,9.01 06/27/11 SHELRON GROUP INC DE 3.02 06/15/11 Shire plc 8.01,9.01 07/01/11 Shire plc 8.01,9.01 07/01/11 Silicon Graphics International Corp DE 3.01 06/27/11 SILICON SOUTH INC 1.01,2.01,3.02,4.01, 11/09/10 AMEND 5.01,5.02,5.06,9.01 SKECHERS USA INC DE 1.01,2.03,9.01 06/30/11 SMITH & WESSON HOLDING CORP NV 2.02,7.01,9.01 06/30/11 SOLAR3D, INC. DE 2.01,9.01 06/30/11 SolarWinds, Inc. DE 2.01,9.01 07/01/11 Solera National Bancorp, Inc. DE 7.01,9.01 06/30/11 SONIC FOUNDRY INC MD 1.01,2.03,9.01 06/27/11 SOUTH JERSEY GAS CO/NEW NJ 1.01,2.03,9.01 07/01/11 Southern Products, Inc. NV 2.03,9.01 06/30/11 SOUTHWEST BANCORP INC OK 1.01,8.01 06/28/11 Spectra Energy Partners, LP DE 2.01,7.01,9.01 06/30/11 SQN Alternative Investment Fund III, DE 5.02 06/28/11 ST JOE CO FL 1.02,7.01,8.01 06/28/11 SUNPOWER CORP DE 5.02 06/28/11 SYNNEX CORP DE 5.07 03/21/11 AMEND TALEO CORP DE 2.01,8.01,9.01 07/01/11 Talon Therapeutics, Inc. 8.01,9.01 06/30/11 TearLab Corp DE 5.07,9.01 06/30/11 TEGAL CORP /DE/ DE 1.01,5.02 06/30/11 TENNANT CO MN 5.02,9.01 06/14/11 AMEND TEREX CORP DE 1.01,9.01 06/27/11 TIBCO SOFTWARE INC DE 5.07 04/14/11 AMEND TICC Capital Corp. MD 1.01,1.02,9.01 07/01/11 TRANS ENERGY INC NV 5.02,9.01 06/29/11 TRC COMPANIES INC /DE/ DE 5.02,9.01 06/28/11 TRIMBLE NAVIGATION LTD /CA/ CA 8.01 07/01/11 TUFCO TECHNOLOGIES INC DE 1.01,9.01 06/30/11 UNION FIRST MARKET BANKSHARES CORP VA 5.05,9.01 06/30/11 UNIVERSAL CITY DEVELOPMENT PARTNERS L 1.01,1.02,4.01,5.01, 07/01/11 5.02,5.03,5.05,8.01, 9.01 UNIVERSAL TECHNICAL INSTITUTE INC DE 8.01,9.01 06/30/11 UNIVERSITY GENERAL HEALTH SYSTEM, INC NV 1.01,2.01,3.02,9.01 07/01/11 UROLOGIX INC MN 3.01,8.01,9.01 06/29/11 URS CORP /NEW/ DE 5.02 06/28/11 US AIRWAYS GROUP INC DE 1.01,2.03,9.01 06/28/11 US AIRWAYS GROUP INC DE 8.01,9.01 06/30/11 UTi WORLDWIDE INC D8 7.01 06/30/11 VALASSIS COMMUNICATIONS INC DE 1.01,1.02,2.03,3.03, 06/27/11 9.01 VENTAS INC DE 5.07,8.01 07/01/11 VERIFONE SYSTEMS, INC. DE 5.07 06/29/11 VERIFONE SYSTEMS, INC. DE 3.02 06/30/11 VISUALANT INC NV 1.01,2.01,9.01 06/27/11 Walter Energy, Inc. DE 5.02,9.01 06/30/11 WARP 9, INC. NV 5.02,5.03,9.01 06/29/11 WASHINGTON MUTUAL, INC WA 7.01,9.01 06/30/11 WEST PHARMACEUTICAL SERVICES INC PA 1.01,9.01 06/28/11 WESTINGHOUSE AIR BRAKE TECHNOLOGIES C DE 8.01,9.01 06/28/11 WHIRLPOOL CORP /DE/ DE 1.01,2.03,9.01 06/28/11 Wizard World, Inc. DE 1.01,2.01,3.02,5.01, 12/07/10 AMEND 5.02,5.03,5.06,9.01 WORTHINGTON INDUSTRIES INC OH 8.01 07/01/11 WPCS INTERNATIONAL INC DE 2.04 06/28/11 XCEL ENERGY INC MN 8.01 06/30/11 ZION OIL & GAS INC DE 7.01,9.01 07/01/11 ZIPREALTY INC 7.01,9.01 07/01/11 ZOGENIX, INC. DE 1.01,1.02,2.03,3.02, 06/30/11 8.01,9.01
http://www.sec.gov/news/digest/2011/dig070511.htm
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