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Commission Speeches and Public Statements Archive: 2000

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.

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2000 Speeches by the Chairman and Commissioners

Date Title Author
Fourth Quarter
Dec. 12, 2000 Remarks of Chairman Arthur Levitt before the Conference on the Rise and Effectiveness of New Corporate Governance Standards, Federal Reserve Bank of New York, New York, N.Y. Chairman Arthur Levitt
Dec. 6, 2000 "Technology, Capital Markets and the Digital Divide" – Remarks of Commissioner Paul R. Carey to the Hellenic Republic Capital Market Commission, Capital Markets Training Program, Athens, Greece Commissioner Paul R. Carey
Dec. 1, 2000 Remarks of Chairman Arthur Levitt before the Forum Club of Southwest Florida, Naples, Fla. Chairman Arthur Levitt
Nov. 10, 2000 "The Independent Counsel Requirement of the Fund Governance Proposal" – Remarks of Commissioner Paul R. Carey to the Fall Meeting of the ABA's Committee on Federal Regulation of Securities, Washington, D.C. Commissioner Paul R. Carey
Nov. 9, 2000 Remarks of Chairman Arthur Levitt before the 2000 Annual Meeting, Securities Industry Association, Boca Raton, Fla. Chairman Arthur Levitt
Nov. 3, 2000 "Costs Paid With Other People's Money" – Remarks of Chairman Arthur Levitt, at the A. A. Sommer Lectureship, Fordham Law School, New York City Chairman Arthur Levitt
Oct. 27, 2000 "Fallout from Regulation FD: Has the SEC Finally Cut the Tightrope?" – Remarks of Commissioner Laura S. Unger, at the Glasser LegalWorks Conference on SEC Regulation FD, New York, New York Commissioner Laura S. Unger
Oct. 24, 2000 "The Public's Profession" – Remarks of Chairman Arthur Levitt, at the Fall Council of the American Institute of Certified Public Accountants, Las Vegas, Nev. Chairman Arthur Levitt
Oct. 12, 2000 "Toward Markets Driven by Footsteps" – Remarks of Chairman Arthur Levitt, at the 67th Annual Conference and Business Meeting of the Security Traders Association, Boca Raton, Fla. Chairman Arthur Levitt
Oct. 4, 2000 "A Celebration of the 60th Anniversary of the Investment Company Act" – Opening Remarks of Commissioner Isaac C. Hunt, Jr. Commissioner Isaac C. Hunt, Jr.
Oct. 5, 2000 Remarks of Chairman Arthur Levitt on the 60th Anniversary of the Investment Company Act and the Investment Company Institute Chairman Arthur Levitt
Third Quarter
Sep. 18, 2000 "A Profession at the Crossroads" – Remarks of Chairman Arthur Levitt, before the National Association of State Boards of Accountancy, Boston, Massachusetts Chairman Arthur Levitt
Sep. 16, 2000 "Investing With Your Eyes Open" – Remarks of Chairman Arthur Levitt, at The Washington Post Investors Town Meeting, Washington, D.C. Chairman Arthur Levitt
Jul. 28, 2000 "Securities Law and the Internet" – Remarks of Commissioner Laura S. Unger, at the Practicing Law Institute, San Francisco, Calif. Commissioner Laura S. Unger
Jul. 25, 2000 "Investing With Your Eyes Open" – Remarks of Chairman Arthur Levitt, at the SEC Investors Town Meeting, Cleveland, Ohio Chairman Arthur Levitt
Jul. 25, 2000 Opening Statement of Chairman Arthur Levitt to the Commission Open Meeting on Market Structure Initiatives in the Options Market and Public Disclosure of Order Routing Practices and Execution Quality Chairman Arthur Levitt
Jul. 10, 2000 Remarks of Chairman Arthur Levitt to the Panel on Audit Effectiveness, New York, N.Y. Chairman Arthur Levitt
Second Quarter
Jun. 30, 2000 "Current SEC Developments" – Remarks of Commissioner Isaac C. Hunt, Jr., at the American Society of Corporate Secretaries, San Francisco, Calif. Commissioner Isaac C. Hunt, Jr.
Jun. 26, 2000 "Rethinking Disclosure in the Information Age: Can There Be Too Much of a Good Thing?" – Remarks of Commissioner Laura S. Unger, at the Internet Securities Regulation, American Conference Institute Commissioner Laura S. Unger
Jun. 13, 2000 "Securities Law and the Internet" – Remarks of Commissioner Laura S. Unger, at the Practicing Law Institute, New York, N.Y. Commissioner Laura S. Unger
May 17, 2000 "Empowering Investors in an Electronic Age" – Remarks of Commissioner Laura S. Unger, at the IOSCO Annual Conference, Sydney, Australia Commissioner Laura S. Unger
May 15, 2000 "Current SEC International Accounting and Selective Disclosure Developments" – Remarks of Commissioner Isaac C. Hunt, Jr., at the Monash Law School Foundation Lecture Series, Melbourne, Australia Commissioner Isaac C. Hunt, Jr.
May 11, 2000 "Coordination and Consultation – Strengthening the Partnerships Among Regulators of Financial Institutions After Glass-Steagall Reform" – Remarks of Commissioner Laura S. Unger, at the Financial Services Roundtable Commissioner Laura S. Unger
May 10, 2000 "Renewing the Covenant With Investors" – Remarks of Chairman Arthur Levitt, at the New York University Center for Law and Business, New York City Chairman Arthur Levitt
May 5, 2000 Remarks of Chairman Arthur Levitt, at the Annual Options Industry Conference, Palm Beach, Fla. Chairman Arthur Levitt
Apr. 13, 2000 Remarks of Commissioner Isaac C. Hunt, Jr., at the 20th Annual Ray Garrett, Jr. Corporate and Securities Law Institute, Chicago, Ill. Commissioner Isaac C. Hunt, Jr.
Apr. 6, 2000 Remarks of Chairman Arthur Levitt, at the Economic Club of Washington Chairman Arthur Levitt
Apr. 5, 2000 "Amendments to Form ADV" – Opening Statement by Chairman Arthur Levitt at the Open Commission Meeting, Washington, D.C. Chairman Arthur Levitt
Apr. 3, 2000 Remarks of Commissioner Paul R. Carey to the SEC/NASAA 19c Conference, Washington Court Hotel Commissioner Paul R. Carey
First Quarter
Mar. 23, 2000 "Financial Reporting and the Global Capital Markets" – Remarks of Commissioner Isaac C. Hunt, Jr., at At the Second European FASB-SEC Financial Reporting Conference, Frankfurt, Germany Commissioner Isaac C. Hunt, Jr.
Mar. 16, 2000 "Visible Prices, Accessible Markets, Order Interaction" – Remarks of Chairman Arthur Levitt, at the Northwestern University School of Law, Kellogg Graduate School of Management Chairman Arthur Levitt
Mar. 14, 2000 "Technology Bytes the Securities Industry: The New Millennium Brings New Investors and New Markets" – Remarks of Commissioner Laura S. Unger Before the Securities Industry Association, Palm Desert, Calif. Commissioner Laura S. Unger
Mar. 6, 2000 Remarks of Chairman Arthur Levitt, at The Finance Conference 2000: "The New Economy," Boston College, Boston, Mass. Chairman Arthur Levitt
Mar. 3, 2000 "Securities Regulation After Glass-Steagall Reform" – Remarks of Commissioner Norman S. Johnson at "SEC Speaks in 2000", Washington, D.C. Commissioner Norman S. Johnson
Mar. 3, 2000 "Current SEC Financial Fraud Developments" – Remarks of Commissioner Isaac C. Hunt, Jr., at "SEC Speaks in 2000," Washington, D.C. Commissioner Isaac C. Hunt, Jr.
Feb. 18, 2000 Remarks of Commissioner Norman S. Johnson to the Mutual Fund Directors Education Council, Washington, D.C. Commissioner Norman S. Johnson
Feb. 18, 2000 Remarks of Commissioner Isaac C. Hunt, Jr., at the 26th Annual Cleveland Securities Law Institute on Securities Regulation Commissioner Isaac C. Hunt, Jr.
Feb. 17, 2000 "International Accounting Standards – The Rules of the Game" – Remarks of Commissioner Isaac C. Hunt, Jr. at the University of Texas School of Law 22nd Annual Conference on Securities Regulation and Business Law Commissioner Isaac C. Hunt, Jr.
Feb. 17, 2000 Remarks of Chairman Arthur Levitt to the Mutual Fund Directors Education Council Conference, Washington, D.C. Chairman Arthur Levitt
Feb. 12, 2000 "Investing With Your Eyes Open" – Remarks of Chairman Arthur Levitt at the Los Angeles Times 4th Annual Investment Strategies Conference, Los Angeles, Calif. Chairman Arthur Levitt
Feb. 3, 2000 "Investing in the Internet Age: What You Should Know and What Your Computer May Not Tell You . . . " – Remarks of Commissioner Laura S. Unger at the Association of Retired Persons National Legislative Council Annual Meeting, Washington, D.C. Commissioner Laura S. Unger
Jan. 27, 2000 "Technology and Regulation: The Road Ahead" – Remarks of Commissioner Laura S. Unger at the San Diego Securities Institute Commissioner Laura S. Unger
Jan. 27, 2000 Remarks of Commissioner Norman S. Johnson at the Securities Regulation Institute, San Diego, Calif. Commissioner Norman S. Johnson
Jan. 24, 2000 "The Global Marketplace, Ready or Not Here it Comes" – Remarks of Commissioner Laura S. Unger at the Third National Securities Trading on the Internet Conference, New York, N.Y. Commissioner Laura S. Unger

2000 Speeches by Commission Staff

Fourth Quarter
Dec. 15, 2000 "Opportunities for Improving Quality" – Remarks of Lynn Turner, Chief Accountant, Before the Colorado Society of CPAs Lynn Turner, Chief Accountant
Dec. 6, 2000 "Independence 'Matters'" – Remarks of Lynn Turner, Chief Accountant, at the 28th Annual National Conference on Current SEC Developments Lynn Turner, Chief Accountant
Dec. 6, 2000 "International Reporting Issues" – Remarks by Craig C. Olinger, Deputy Chief Accountant, Division of Corporation Finance, at the 28th Annual National Conference on Current SEC Developments Craig C. Olinger, Deputy Chief Accountant
Dec. 5, 2000 Remarks of Richard H. Walker, Director, Division of Enforcement, before the AICPA National Conference on Current SEC Developments Richard H. Walker, Director, Division of Enforcement
Dec. 5, 2000 Remarks of Paul R. Berger, Associate Director, Division of Enforcement, before the AICPA National Conference on Current SEC Developments Paul R. Berger, Associate Director, Division of Enforcement
Dec. 5, 2000 Remarks of Charles D. Niemeier, Chief Accountant, Division of Enforcement, Before the AICPA National Conference on Current SEC Developments Charles D. Niemeier, Chief Accountant, Division of Enforcement
Dec. 5, 2000 "The Hallmark of the Profession, Serving the Public Interest" – Remarks of Lynn Turner, Chief Accountant, at the 28th Annual National Conference on Current SEC Developments Lynn Turner, Chief Accountant
Dec. 5, 2000 "International Reporting: The Way Forward" – Remarks of John M. Morrissey, Deputy Chief Accountant, at the 28th Annual National Conference on Current SEC Developments John M. Morrissey, Deputy Chief Accountant
Dec. 5, 2000 "Fair Value Accounting — Let's Work Together and Get It Done! " – Remarks by Jackson M. Day, Deputy Chief Accountant, Office of the Chief Accountant, at the 28th Annual National Conference on Current SEC Developments Jackson M. Day, Deputy Chief Accountant, Office of the Chief Accountant
Dec. 4, 2000 "New Rules, Old Principles" – Remarks of David M. Becker, General Counsel, at the 2000 Securities Law Developments Conference, Washington, D.C. David M. Becker, General Counsel
Dec. 4, 2000 "The Challenge of Making Best Practice, Common Practice" – Remarks of Paul F. Roye, Director, Division of Investment Management, at the 2000 Securities Law Developments Conference, Washington, D.C. Paul F. Roye, Director, Division of Investment Management
Nov. 14, 2000 "The Right and Wrong of Board Oversight" – Remarks of Paul F. Roye, Director, Division of Investment Management, Before the ICI 2000 Investment Company Directors Conference, Santa Monica, Calif. Paul F. Roye, Director, Division of Investment Management
Nov. 14, 2000 "The Importance of Strong Internal Controls in a Changing World" – Remarks of Lori Richards, Director, Office of Compliance Inspections and Examinations, at the American Institute of Certified Public Accountants/Securities Industry Association National Conference on the Securities Industry, New York, N.Y. Lori Richards, Director, Office of Compliance Inspections and Examinations
Nov. 10, 2000 "The Future is Now" – Keynote Address of Lynn Turner, Chief Accountant, at the Accounting Hall of Fame-Association of Accounting Historians, Ohio State University, Columbus, Ohio Lynn Turner, Chief Accountant
Nov. 9, 2000 "Regulatory Initiatives for the Investment Management Industry" – Keynote Address of Paul F. Roye, Director, Division of Investment Management, Before the Glasser Legal Works Fourth Annual Institute on Investment Management Regulation, Marriott New York Marquis, New York City Paul F. Roye, Director, Division of Investment Management
Nov. 2, 2000 "Fostering Integrity and Ethical Standards: A Prescription for Success in the 21st Century Marketplace " – Keynote Address of Paul F. Roye, Director, Division of Investment Management, Before the Life Insurance Marketing and Research Association, Life Office Management Association and Insurance Marketplace Standards Association, Market Conduct Exchange 2000 Conference, Orlando, Fla. Paul F. Roye, Director, Division of Investment Management
Nov. 2, 2000 "Call Them As You See Them " – Remarks of Jackson M. Day, Deputy Chief Accountant, at the AICPA National Conference on Banks and Savings Institutions Jackson M. Day, Deputy Chief Accountant, Office of the Chief Accountant
Nov. 1, 2000 "Regulation FD – An Enforcement Perspective" – Remarks of Richard H. Walker, Director, Division of Enforcement, before the Compliance & Legal Division of the Securities Industry Association, New York Richard H. Walker, Director, Division of Enforcement
Oct. 25, 2000 "Regulation vs. Enforcement in an On-Line World" – Remarks of Richard H. Walker, Director, Division of Enforcement, at The Bond Market Association's 6th Annual Legal and Compliance Seminar, New York Richard H. Walker, Director, Division of Enforcement
Oct. 18, 2000 "Investment Management Enforcement in the 21st Century" – Remarks of Richard H. Walker, Director, Division of Enforcement, at D.C. Bar Association, Washington, D.C. Richard H. Walker, Director, Division of Enforcement
Oct. 19, 2000 "Variable Insurance Products: The Challenges of a New Millennium " – Keynote Address of Paul F. Roye, Director, Division of Investment Management, Before the ALI-ABA Conference on Life Insurance Company Products: Current Securities, Tax, ERISA, and State Regulatory Issues, Washington, D.C. Paul F. Roye, Director, Division of Investment Management
Oct. 12, 2000 Remarks of Lynn Turner, Chief Accountant, to the 39th Annual Corporate Counsel Institute, Presented by Northwestern University School of Law Lynn Turner, Chief Accountant
Oct. 10, 2000 "Reaching For Greater Heights" – Remarks of Lynn Turner, Chief Accountant, at the Richard M. DeVos Center Grand Opening Celebration Day, Grand Valley State University, Grand Rapids, Mich. Lynn Turner, Chief Accountant
Oct. 5, 2000 "Audit Committees: A Call to Action" – Remarks of Lynn Turner, Chief Accountant, at the Accounting Irregularities II: What's an Audit Committee To Do?, New York, N.Y. Lynn Turner, Chief Accountant
Oct. 4, 2000 "A Celebration of the 60th Anniversary of the Investment Company Act" – Opening Remarks of Paul F. Roye, Director, Division of Investment Management Paul F. Roye, Director, Division of Investment Management
Oct. 3, 2000 "Municipal Securities in the Information Age: Responsibilities under the Federal Securities Laws" – Remarks of Stephen Weinstein, Attorney, Office of Municipal Securities, before the Georgia Government Finance Officers Association, Augusta, Ga. Stephen Weinstein, Attorney, Office of Municipal Securities
Third Quarter
Sep. 29, 2000 "Today's Ethics Yield Tomorrow's Behavior" – Remarks of Lynn Turner, Chief Accountant, at the Executive Ethics Forum, Gonzaga University, Spokane, Wash. Lynn Turner, Chief Accountant
Sep. 22, 2000 "Regulation of Mutual Funds in the United States" – A Successful Regulatory Regime" – Remarks of Paul F. Roye, Director, Division of Investment Management, at the FEFSI General Membership Meeting 2000, Paris, France – Keynote Address Paul F. Roye, Director, Division of Investment Management
Sep. 19, 2000 "Disclosure in the Municipal Market: Fundamental Concepts for Issuers" – Remarks of Martha Mahan Haines, Attorney-Fellow, Office of Municipal Securities, Before the Michigan Municipal Finance Officers Association, Thomsonville, Michigan Martha Mahan Haines, Attorney-Fellow, Office of Municipal Securities
Sep. 13, 2000 "Securities Laws and the Municipal Issuer: Points for the Electronic Era" – Remarks of Paul S. Maco, Director, Office of Municipal Securities, Before the Joint Annual Conference of the National Council of Health Facilities Authorities and the National Association of Higher Education Facilities Authorities, Boise, Idaho Paul S. Maco, Director, Office of Municipal Securities
Sep. 11, 2000 "Self-Regulation in the New Era" – Remarks of Lori Richards, Director, Office of Compliance Inspections and Examinations, at the NRS Fall 2000 Compliance Conference, Scottsdale, Ariz. Lori Richards, Director, Office of Compliance Inspections and Examinations
Aug. 1, 2000 "Understanding AHERF: Observations on the Recent Settlements Involving Allegheny Health, Education and Research Foundation " – Remarks of Stephen Weinstein, Attorney, Office of Municipal Securities, before the AICPA National Healthcare Industry Conference, Washington, D.C. Stephen Weinstein, Attorney, Office of Municipal Securities
Jul. 19, 2000 "How the Division of Corporation Finance Influences Accounting Practices and Financial Reporting Standards" – Remarks of Robert A. Bayless, Chief Accountant, Division of Corporation Finance, to a Technical Session of the 30th Annual Convention, National Association of Black Accountants, Washington, D.C. Robert A. Bayless, Chief Accountant, Division of Corporation Finance
Jul. 10, 2000 Remarks of Lynn Turner, Chief Accountant, to the Panel on Audit Effectiveness, New York, N.Y. Lynn Turner, Chief Accountant
Second Quarter
Jun. 22, 2000 "Building an Infrastructure for Financial Security" – Remarks of Marisa Lago, Director, Office of International Affairs, before the Federal Reserve Bank of Boston Marisa Lago, Director, Office of International Affairs
Jun. 15, 2000 "The Genius of the Investment Company Act – A Framework for Adaptation to Change" – Remarks of Paul F. Roye, Director, Division of Investment Management, before the American Law Institute – American Bar Association, Investment Company Regulation and Compliance, – Keynote Address Paul F. Roye, Director, Division of Investment Management
Jun. 5, 2000 "The Changing Landscape of Variable Annuities" – Remarks of Paul F. Roye, Director, Division of Investment Management, before the National Association for Variable Annuities – Regulatory Affairs Conference, Washington, D.C. Paul F. Roye, Director, Division of Investment Management
Jun. 5, 2000 "Compliance Professionals: The First Line of Defense" – Remarks of Cynthia M. Fornelli, Senior Advisor to the Director, Division of Investment Management, at the 2000 Mutual Fund Training Conference, – Sponsored by the Investment Company Institute, Capital Hilton, Washington, D.C. Cynthia M. Fornelli, Senior Advisor to the Director, Division of Investment Management
May 24, 2000 "Market Structure: 2000 and Beyond" – Remarks of Annette Nazareth, Director, Division of Market Regulation, Securities Industry Association – Keynote Address Annette Nazareth, Director, Division of Market Regulation
May 22, 2000 "A Regulator's Perspective on the Needs of the Capital Markets" – Remarks of Mary B. Tokar, Senior Associate Chief Accountant–International, Office of the Chief Accountant, at the International Federation of Accountants, IFAC 2000 Mary B. Tokar, Senior Associate Chief Accountant–International, Office of the Chief Accountant
May 19, 2000 "Success and Survival of the Mutual Fund Industry in a Changing World" – Remarks of Paul F. Roye, Director, Division of Investment Management, before the ICI General Membership Meeting – Washington, D.C. Paul F. Roye, Director, Division of Investment Management
May 15, 2000 "Recent Regulatory Developments under the Investment Company Act" – Remarks of Paul F. Roye, Director, Division of Investment Management, before the Practice Law Institute – The '40 Act Institute, New York City Paul F. Roye, Director, Division of Investment Management
May 11, 2000 "The Hero is You" – Remarks of Lynn Turner, Chief Accountant, at the Medallion Awards Ceremony, Financial Executives Institute, Philadelphia Chapter, The Union League of Philadelphia, Philadelphia, Penn. Lynn Turner, Chief Accountant
May 9, 2000 "Protecting Pension Plan Participants Through Investor Education" – Remarks of Paul F. Roye, Director, Division of Investment Management, before the International Foundation of Employee Benefit Plans, Washington, D.C. Paul F. Roye, Director, Division of Investment Management
May 6, 2000 "Reach for the Stars" – Remarks by Lynn E. Turner, Chief Accountant of the Commission, at the Commencement of the College of Business Administration, Central Michigan University, Mount Pleasant, Mich. Lynn Turner, Chief Accountant
May 1, 2000 "Compliance Priorities for Investment Advisers" – Remarks of Lori Richards, Director, Office of Compliance Inspections and Examinations, at the Investment Adviser Compliance Summit, IA Week/Investment Counsel Association of America Lori Richards, Director, Office of Compliance Inspections and Examinations
April 25, 2000 "A QT Report Card for High Quality Financial Reporting" – Remarks by Lynn E. Turner, Chief Accountant of the Commission, at the Hylton Lecture Series in Accountancy, Critical Issues in Accounting Forum, Wake Forest University, Winston-Salem, N.C. Lynn Turner, Chief Accountant
Apr. 17, 2000 "The New Internet Economy – A Compliance Imperative" – Remarks of Lori Richards, Director, Office of Compliance Inspections and Examinations, at the National Regulatory Services Spring 2000 Compliance Conference, Miami, Fla. Lori Richards, Director, Office of Compliance Inspections and Examinations
Apr. 14, 2000 "What Does It Take To Be an Effective Independent Director of a Mutual Fund?" – Remarks of Paul F. Roye, Director, Division of Investment Management, at the ICI Workshop for New Fund Directors, Washington, D.C. Paul F. Roye, Director, Division of Investment Management
Apr. 6, 2000 "2000 and Beyond: SEC Priorities for the Investment Adviser Profession" – Remarks of Paul F. Roye, Director, Division of Investment Management, Before the Investment Counsel Association of America, Atlanta, Georgia Paul F. Roye, Director, Division of Investment Management
Apr. 5, 2000 "Amendments to Form ADV" – Statement of Paul F. Roye, Director, Division of Investment Management, at the Open Commission Meeting, Washington, D.C. Paul F. Roye, Director, Division of Investment Management
First Quarter
Mar. 27, 2000 "Challenges for the Mutual Fund Industry in the Competitive Frontier" – Remarks of Paul F. Roye, Director, Division of Investment Management, at the 2000 Mutual Funds and Investment Management Conference, Palm Desert, Calif. Paul F. Roye, Director, Division of Investment Management
Mar. 24, 2000 "International Reporting Issues" – Remarks by Lynn E. Turner, Chief Accountant of the U.S. Securities and Exchange Commission at the European FASB-SEC Financial Reporting Conference, in Frankfurt, Germany Lynn Turner, Chief Accountant
Mar. 23, 2000 "Charting a Course for High Quality Financial Reporting" – Remarks of Lynn E. Turner, Chief Accountant of the Commission, at the European FASB-SEC Financial Reporting Conference, Frankfurt, Germany Lynn Turner, Chief Accountant
Mar. 21, 2000 "Corporate Responsibility and the Audit Committee" – Remarks by John Morrissey, Deputy Chief Accountant, at the General Audit Management Conference, New Orleans, La. John M. Morrissey, Deputy Chief Accountant
Feb. 18, 2000 "Points for Municipal Issuers To Keep in Mind During Good Times" – Remarks of Paul S. Maco, Director, Office of Municipal Securities, at the Midwest Regional Public Finance Conference, Wichita, Kansas Paul S. Maco, Director, Office of Municipal Securities
Jan. 27, 2000 "Shifting Paradigms in Self-Regulation" – Remarks of Lynn E. Turner, Chief Accountant of the Commission, at the 27th Anniversary Securities Regulation Institute, Coronado, Calif. Lynn Turner, Chief Accountant

http://www.sec.gov/news/speech/speecharchive/2000speech.shtml


Modified: 01/20/2012