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Proposed Rule: Reporting of Proxy Votes on Executive Compensation and Other Matters
[Release Nos. 34-63123; IC-29463; File No. S7-30-10]
See also: Comments on Dodd-Frank Act Title IX, Executive Compensation
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(Click here for meetings with SEC officials)
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Sep. 12, 2014 | Dieter Waizenegger, Executive Director, CtW Investment Group |
Jun. 3, 2011 | Katherine Rabin, Chief Executive Officer and John Wieck, Chief Operating Officer, Glass Lewis & Co., LLC |
Dec. 22, 2010 | Stuart J. Kaswell, Executive Vice President and Managing Director, General Counsel, Managed Funds Association |
Dec. 14, 2010 | M. W. L. |
Nov. 23, 2010 | Stephen Harvey, Business Head, Institutional Shareholder Services Inc., Rockville, Maryland |
Nov. 22, 2010 | Jeffrey W. Rubin, Chair, Committee on Federal Regulation of Securities, Section of Business Law, American Bar Association, New York, New York |
Nov. 19, 2010 | Teresa L. Remillard, Assistant Director, Legal and Corporate Affairs, Intel Corporation |
Nov. 18, 2010 | Paul M. Miller, Patricia A. Poglinco, and Robert B. Van Grover, Seward & Kissel LLP, New York, New York |
Nov. 18, 2010 | John Wieck, Chief Operating Officer, Glass Lewis & Co., LLC, San Francisco, California |
Nov. 18, 2010 | Richard M. Whiting, Executive Director & General Counsel, Financial Services Roundtable, Washington, District of Columbia |
Nov. 18, 2010 | Scott Goebel, Senior Vice President and General Counsel, Fidelity Management & Research Company |
Nov. 18, 2010 | Bill McGrew, Portfolio Manager, Investment Office, Global Equity Corporate Governance, CalPERS |
Nov. 18, 2010 | Karrie McMillan, Investment Company Institute, Washington, District of Columbia |
Nov. 18, 2010 | Gregory W. Smith, General Counsel/Chief Operationg Officer, Colorado Public Employees' Retirement Association |
Nov. 18, 2010 | Elizabeth N. Knoblock, Partner, Mayer Brown LLP |
Nov. 18, 2010 | Anne Sheehan, Director of Corporate Governance, California State Teachers' Retirement System, West Sacramento, California |
Nov. 18, 2010 | Sen. Carl Levin, U.S. Senate |
Nov. 18, 2010 | Adrienne Brown, MBA, Nationwide Investment Management Group |
Nov. 17, 2010 | Oli Stone |
Nov. 16, 2010 | Jennifer S. Choi, Associate General Counsel, Investment Adviser Association |
Nov. 13, 2010 | Chris Barnard, Germany |
Nov. 12, 2010 | Glenn H. Davis, Senior Research Associate, Council of Institutional Investors |
Nov. 8, 2010 | Dennis Reiland, Portfolio Manager, Irvine, California |
Nov. 2, 2010 | Dominic Jones, IRWebReport.com, Canada |
Oct. 26, 2010 | Heidi Preston, Austin, Texas |
Oct. 21, 2010 | Giovanni De Amici, Torrance, California |
Oct. 19, 2010 | Harold Myers |
Meetings with SEC Officials
(Click here for submitted comments from the public) |
Mar. 10, 2014 | Memorandum from the Division of Investment Management regarding February 26, 2014, and February 28, 2014, telephone calls with representatives of Institutional Shareholder Services, Inc. |
Mar. 10, 2014 | Memorandum from the Division of Investment Management regarding a February 26, 2014, telephone call with a representative of the Investment Adviser Association |
Feb. 28, 2014 | Memorandum from the Division of Investment Management regarding a February 28, 2014, telephone call with a representative of Glass Lewis & Co. |
Jan. 14, 2011 | Memorandum from the Division of Investment Management regarding a January 14, 2011, telephone call with representatives of Glass Lewis & Co., LLC |
Jan. 7, 2011 | Memorandum from the Division of Investment Management regarding a November 29, 2010, telephone call with representatives of BlackRock |
Dec. 1, 2010 | Memorandum from the Division of Investment Management regarding a November 24, 2010, telephone call with representatives of Glass Lewis & Co., LLC |
Dec. 1, 2010 | Memorandum from the Division of Investment Management regarding a November 24, 2010, telephone call with representatives of the Investment Adviser Association |
Dec. 1, 2010 | Memorandum from the Division of Investment Management regarding a November 24, 2010, telephone call with representatives of Fidelity Investments |
Dec. 1, 2010 | Memorandum from the Division of Investment Management regarding a November 24, 2010, telephone call with representatives of Nationwide Investment Management Group |
Nov. 23, 2010 | Memorandum from the Division of Investment Management regarding a November 23, 2010, meeting with representatives of the Managed Funds Association |
http://www.sec.gov/comments/s7-30-10/s73010.shtml
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