From: Don Roork [droork@assetdynamics.com] Sent: Wednesday, June 26, 2002 3:41 AM To: rule-comments@sec.gov Subject: File No. S7-25-99 As President of the Northwest Ohio Financial Planning Association I wish to voice my opposition to SEC proposed rule exempting certain broker-dealer activity from the Investment Advisors Act of 1940. Don Roork, CFP Certified Financial Planner President AssetDynamics 3335 Meijer Drive Suite 100 Toledo, Ohio 43617 419-841-6700 http://www.assetdynamics.com Securities offered through FSC Securities Corporation. A Registered Broker/Dealer. Member NASD and SIPC