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Comments on Proposed Rule: Issuer Review of Assets in Offerings of Asset-Backed Securities
[Release No. 33-9150; File No. S7-26-10]
See also: Comments on Dodd-Frank Act, Title IX; Asset-Backed Securities
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(Click here for meetings with SEC officials)
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Dec. 17, 2010 | Gerard P. Michaud, Marblehead, Massachusetts |
Dec. 14, 2010 | Tom Deutsch, Executive Director, American Securitization Forum |
Dec. 13, 2010 | Cole P., South Bend |
Nov. 22, 2010 | William Sims, Birmingham Citywide Appraisal |
Nov. 19, 2010 | John M. McNally, President, National Association of Bond Lawyers |
Nov. 19, 2010 | PricewaterhouseCoopers |
Nov. 19, 2010 | Robert W. Scott, Director of Finance, City of Brookfield, WI, Brookfield, Wisconsin |
Nov. 18, 2010 | Nikola R. Djuric, Esquire, Attorney |
Nov. 17, 2010 | Jeffrey W. Rubin, Chair, Committee on Federal Regulation of Securities, Business Law Section, American Bar Association |
Nov. 16, 2010 | Robert O. Lenna, Executive Director, Maine Municipal Bond Bank |
Nov. 16, 2010 | Cristeena G. Naser, Associate General Counsel, ABA Securities Association |
Nov. 15, 2010 | Jeffrey A. Asher, Executive Director, Connecticut Health and Educational Facilities Authority |
Nov. 15, 2010 | William Daly, Bond Dealers of America; Rick Farrell, Council of Infrastructure Financing Authorities; Vince Sampson, Education Finance Council; Susan Gaffney, Government Finance Officers Association; Michael Belarmino, National Association of Counties; Chuck Samuels, National Assn. of Health and Educational Facilities Authorities; Tom Johnsen, National Association of Independent Public Financial Advisors; John Murphy, National Association of Local Housing Finance Agencies; Cornelia Chebinou, National Assn. of State Auditors, Comptrollers and Treasurers; Jim Currie, National Association of State Treasurers; Garth Riemen, National Council of State Housing Agencies; Lars Etzkorn, National League of Cities; Leslie Norwood, Securities Industry and Financial Markets Association; and Larry Jones, U.S. Conference of Mayors |
Nov. 15, 2010 | Americans for Financial Reform |
Nov. 15, 2010 | Tom Deutsch, Executive Director, American Securitization Forum |
Nov. 15, 2010 | Bill Himpler, Executive Vice President, American Financial Services Association |
Nov. 15, 2010 | Steven Cohen, Senior Vice President and General Counsel, Clayton Holdings LLC and Mark Hughes, Vice-President, CoreLogic, Inc. |
Nov. 15, 2010 | Appraisal Institute, American Society of Farm Managers and Rural Appraisers |
Nov. 15, 2010 | John D’Amico, Chief Executive Officer, CRE Finance Council |
Nov. 15, 2010 | KPMG LLP |
Nov. 15, 2010 | Ernst & Young LLP |
Nov. 15, 2010 | Barbara J. Thompson, Executive Director, National Council of State Housing Agencies |
Nov. 15, 2010 | Kevin Duignan, Group Managing Director, US Structured Finance, Fitch, Inc. |
Nov. 15, 2010 | Cynthia M. Fornelli, Executive Director, Center for Audit Quality |
Nov. 15, 2010 | Carl Levin, Chairman, Permanent Subcommittee on Investigations, United States Senate |
Nov. 15, 2010 | Donald E. Kelly, Executive Director, Real Estate Advocacy Association |
Nov. 15, 2010 | Timothy J. Mayopoulos, Executive Vice President, Chief
Administrative Officer, General Counsel and Corporate Secretary, Fannie Mae |
Nov. 15, 2010 | Robert E. Donovan, Executive Director,
Rhode Island Health And Educational Building Corporation |
Nov. 15, 2010 | Richard A. Dorfman, Managing Director, Head of Securitization, Securities Industry and Financial Markets Association and Christopher B. Killian, Vice President, Securities Industry and Financial Markets Association |
Nov. 15, 2010 | Elliot Ganz, General Counsel, The Loan Syndications and Trading Association |
Nov. 15, 2010 | American Society of Appraisers, American Society of Farm Managers and Rural Appraisers, and National Association of Independent Fee Appraisers |
Nov. 15, 2010 | Edward Bankole, President, Structured Risk Analytics< |
Nov. 15, 2010 | Deloitte & Touche LLP |
Nov. 15, 2010 | Richard Hopkin, Managing Director, Association for Financial Markets in Europe / European Securitisation Forum |
Nov. 15, 2010 | Ellen Harnick, Senior Policy Counsel, Center for Responsible Lending |
Nov. 15, 2010 | Gloria F. Ragosta, executive Director, Connecticut Higher Education Supplemental Loan Authority |
Nov. 15, 2010 | Bill Himpler, Executive Vice President, American Financial Services Association |
Nov. 15, 2010 | Richard M . Whiting, Executive Director, Financial Services Roundtable |
Nov. 15, 2010 | Karrie McMillan, General Counsel, Investment Company Institute |
Nov. 15, 2010 | Mary Jo Ochson, Senior Vice President and Chief Investment Officer, for Short-Term Municipal Funds, Federated Investors, Inc. |
Nov. 15, 2010 | Denise L. Nappier, State Treasurer, State of Connecticut |
Nov. 15, 2010 | Connecticut Housing Finance Authority |
Nov. 15, 2010 | John C. Murphy, Executive Director, National Association of Local Housing Finance Agencies |
Nov. 13, 2010 | Barbara Roper, Director of Investor Protection, Consumer Federation of America |
Nov. 13, 2010 | BOK Financial Corporation |
Nov. 12, 2010 | Mark Page, Director of Management and Budget, The City of New York, New York, New York |
Nov. 12, 2010 | John A. Courson, President and Chief Executive Officer, Mortgage Bankers Association |
Nov. 12, 2010 | BDO USA, LLP |
Nov. 12, 2010 | James Cegla, Minnesota Housing Finance Agency, Saint Paul, Minnesota |
Nov. 10, 2010 | Bryan Maloney, Texas |
Nov. 10, 2010 | Robert O. Lenna, Executive Director, Maine Municiapal Bond Bank and Maine Health and Higher Educational Facilities Authority |
Nov. 6, 2010 | Chris Barnard, Germany |
Nov. 4, 2010 | Christopher B. Chuff, Bryn Mawr, Pennsylvania |
Oct. 27, 2010 | Thomas H. Armistead, Wallingford, Connecticut |
Oct. 26, 2010 | David C. Bollinger, Retired Investor, Helena, Montana |
Oct. 15, 2010 | Jerald S. Hodson, Tyler, Texas |
Oct. 14, 2010 | John Waldronn, Chief Compliance Officer, DFS Capital Management, LP |
Oct. 13, 2010 | Glenn L. Boom, Montrose, Alabama |
Meetings with SEC Officials
(Click here for submitted comments from the public) |
Jan. 11, 2011 | Memorandum from the Division of Corporation Finance regarding a December 20, 2010, conference call with a representative of Allon Hill |
Nov. 5, 2010 | Memorandum from the Division of Corporation Finance regarding a November 3, 2010, meeting with representatives of SIFMA and Dechert LLP |
http://www.sec.gov/comments/s7-26-10/s72610.shtml
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