From: E. W. "Woody" Young, CFP [eyoung@rjfs.com] Sent: Wednesday, July 24, 2002 9:53 AM To: rule-comments@sec.gov Subject: File NoS7-25-99 Opposed to rule. To whom it may concern: I am joining with the FPA, The Financial Planning Association, in expressing my opposition to the proposed SEC rule, "Certain Broker- Dealers Deemed Not To Be Investment Advisers." I am asking that the SEC withdraw the rule. Period. Thank you, E. W. "Woody" Young, CFP President and Co-Founder, Quest Capital Management, Inc. Dallas, Texas