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Open Meeting Agenda
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Item 1: | Commission Guidance Regarding Management's Report on Internal Control Over Financial Reporting under Section 13(a) or Section 15(d) of the Securities Exchange Act of 1934 Amendments to Rules Regarding Management's Report on Internal Control Over Financial Reporting Office: Office of the Chief Accountant/Division of Corporation Finance Staff: Zoe-Vonna Palmrose, Michael G. Gaynor, Nancy Salisbury, Carol Stacey, Elizabeth Murphy, Sean Harrison |
Item 2: | Smaller Reporting Company Regulatory Relief and Simplification Office: Division of Corporation Finance Staff: Mauri L. Osheroff, Gerald J. Laporte, Kevin M. O'Neill, Johanna Vega Losert |
Item 3: | Revisions to the Eligibility Requirements for Primary Securities Offerings on Forms S-3 and F-3 Office: Division of Corporation Finance Staff: Paula Dubberly, Elizabeth Murphy, Daniel Greenspan |
Item 4: | Exemption of Compensatory Employee Stock Options from Registration Under Section 12(g) of the Securities Exchange Act of 1934 Office: Division of Corporation Finance Staff: Martin Dunn, Amy M. Starr |
Item 5: | Revisions to Limited Offering Exemptions in Regulation D Office: Division of Corporation Finance Staff: Mauri L. Osheroff, Gerald J. Laporte, Anthony G. Barone, Steven G. Hearne |
Item 6: | Electronic Filing and Simplification of Form D Office: Division of Corporation Finance Staff: Mauri L. Osheroff, Gerald J. Laporte, Mark Green, Corey A. Jennings |
Item 7: | Revisions to Securities Act Rules 144 and 145 to Shorten Holding Period for Affiliates and Non-Affiliates Office: Division of Corporation Finance Staff: Martin Dunn, Elizabeth Murphy, Ray Be, Katherine Hsu |
Item 8: | Oversight of Credit Rating Agencies Registered as Nationally Recognized Statistical Rating Organizations Office: Division of Market Regulation Staff: Robert L.D. Colby, Michael A. Macchiaroli, Thomas K. McGowan, Randall W. Roy, Rose Russo Wells |
The Commission will consider whether to adopt interpretive guidance for management regarding its evaluation and assessment of internal control over financial reporting. The Commission will also consider whether to adopt amendments to Exchange Act Rules 13a-15(c) and 15d-15(c) that would make it clear that an evaluation that complies with the Commission's interpretive guidance would satisfy the annual management evaluation required by those rules. In addition, the Commission will consider whether to adopt amendments to Rules 1-02(a)(2) and 2-02(f) of Regulation S-X to require the expression of a single opinion directly on the effectiveness of internal control over financial reporting by the auditor in its attestation report. Finally, the Commission will consider whether to adopt amendments to Exchange Act Rule 12b-2 and Rule 1-02 of Regulation S-X to define certain terms.
For further information, please contact Michael G. Gaynor, Office of the Chief Accountant, at (202) 551-5300, or Sean Harrison, Division of Corporation Finance, at (202) 551-3430.
The Commission will consider a number of rule proposals addressing the registration and disclosure requirements for smaller companies, as well as private offerings of securities, including whether:
For further information, please contact Kevin M. O'Neill or Johanna Vega Losert, Division of Corporation Finance, at (202) 551-3460.
For further information, please contact Daniel Greenspan, Division of Corporation Finance, at (202) 551-3430.
For further information, please contact Amy M. Starr, Division of Corporation Finance, at (202) 551-3115.
For further information, please contact Anthony G. Barone or Steven G. Hearne, Division of Corporation Finance, at (202) 551-3460.
For further information, please contact Corey A. Jennings, Division of Corporation Finance, at (202) 551-3258.
For further information, please contact Ray Be or Katherine Hsu, Division of Corporation Finance, at (202) 551-3430.
The Commission will consider whether to adopt rules to implement provisions of the Credit Rating Agency Reform Act of 2006.
For further information, please contact Randall W. Roy, Division of Market Regulation, at (202) 551-5522 or Rose Russo Wells, at (202) 551-5527.
http://www.sec.gov/news/openmeetings/2007/agenda052307.htm
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