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Proposed Rule: Disclosure for Asset-Backed Securities Required by Section 943 of the Dodd-Frank Wall Street Reform and Consumer Protection Act

[Release Nos. 33-9148, 34-63029; File No. S7-24-10]


Dec. 21, 2010 John M. McNally, Hawkins Delafield & Wood LLP, Washington, D.C.
Nov. 30, 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 John M. McNally, President, National Association of Bond Lawyers
Nov. 17, 2010 Farisa Zarin, Managing Director, Global Regulatory Affairs, Moody’s Investors Service
Nov. 16, 2010 Cristeena G. Naser, Senior Counsel, Center for Securities, Trust & Investment and Associate General Counsel, ABA Securities Association
Nov. 15, 2010 Gloria F. Ragosta, executive Director, Connecticut Higher Education Supplemental Loan Authority
Nov. 15, 2010 Tom Deutsch, Executive Director, American Securitization Forum
Nov. 15, 2010 Deven Sharma, President, Standard & Poor’s
Nov. 15, 2010 Bill Himpler, Executive Vice President, American Financial Services Association
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 Richard M . Whiting, Executive Director, Financial Services Roundtable
Nov. 15, 2010 John D’Amico, Chief Executive Officer, Commercial Real Estate Finance Council
Nov. 15, 2010 Jonathan L. Rosenthal, Senior Managing Director – Core Securities, Metropolitan Life Insurance Company
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 Barbara J. Thompson, Executive Director, National Council of State Housing Agencies
Nov. 15, 2010 Karrie McMillan, General Counsel, Investment Company Institute
Nov. 15, 2010 Kenneth L. Miller, Deputy General Counsel, Bank of America Corporation
Nov. 15, 2010 Mary Jo Ochson, Senior Vice President and Chief Investment Officer, for Short-Term Municipal Funds, Federated Investors, Inc.
Nov. 15, 2010 Charles D. Brown, General Counsel, Fitch, Inc.
Nov. 15, 2010 Carl Levin, Chairman, Permanent Subcommittee on Investigations, United States Senate
Nov. 15, 2010 Ram D. Wertheim, Executive Vice President, Chief Legal Officer & Secretary, MBIA Inc.
Nov. 15, 2010 Denise L. Nappier, State Treasurer, State of Connecticut
Nov. 15, 2010 Elisabeth A. Brewster, Vice President, Wells Fargo Bank, National Association, Corporate Trust Services
Nov. 15, 2010 Howard C. Nusbaum, President and Chief Executive Officer, American Resort Development Association
Nov. 15, 2010 Glen S. Corso, Managing Director, Community Mortgage Banking Project
Nov. 15, 2010 Timothy J. Mayopoulos, Executive Vice President, Chief Administrative Officer, General Counsel and Corporate Secretary, Fannie Mae and Robert E. Bostrom, Executive Vice President, General Counsel and Corporate Secretary, Freddie Mac
Nov. 15, 2010 Vince Sampson, President, Education Finance Council
Nov. 15, 2010 Jeffrey A. Asher, Executive Director, Connecticut Health and Educational Facilities Authority
Nov. 15, 2010 Connecticut Housing Finance Authority
Nov. 15, 2010 John J. Wagner, Kutak Rock 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 John C. Murphy, Executive Director, National Association of Local Housing Finance Agencies
Nov. 15, 2010 Bruce E. Stern, Chairman of Government Affairs Committee, Association of Financial Guaranty Insurers
Nov. 12, 2010 Mark Page, Director of Management and Budget, The City of New York, New York, New York
Nov. 12, 2010 Robert G. Dobilas, CEO and President, Realpoint LLC, Horsham, Pennsylvania
Nov. 12, 2010 John A. Courson, President and Chief Executive Officer, Mortgage Bankers Association
Nov. 12, 2010 James Cegla, Minnesota Housing Finance Agency, Saint Paul, Minnesota
Nov. 5, 2010 Rima Phillips
Nov. 5, 2010 Memorandum from the Division of Corporation Finance regarding a November 3, 2010, meeting with representatives of SIFMA and Dechert LLP
Oct. 21, 2010 Richard Field, Managing Director, TYI, LLC, Needham, Massachusetts
Oct. 21, 2010 Thomas E. Martin, PhD, Canidate for CFP, Surfside Beach, South Carolina
Oct. 16, 2010 Daniel Morgan, Retired, Plano, Texas
Oct. 18, 2010 Daryl E. Burton, Unemployed, Louisville, Kentucky
Oct. 6, 2010 Penny E. Keiter, Student, American Library Association, Gordonsville, Virginia

 

http://www.sec.gov/comments/s7-24-10/s72410.shtml

Modified: 12/23/2010