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U.S. Securities and Exchange Commission

Securities Exchange Act of 1934
Rule 12h-3

November 5, 2013

Response of the Office of Chief Counsel
Division of Corporation Finance

Re:

Willbros Group, Inc.
Incoming letter dated October 30, 2013

Based on the facts presented, the Division will not object if the Subsidiary Guarantors stop filing periodic and current reports under the Exchange Act, including their quarterly reports on Form 10-Q for the quarter ended September 30, 2013. We assume that, consistent with the representations made in your letter, the Subsidiary Guarantors will file certifications on Form 15 making appropriate claims under Exchange Act Rule 12h-3 on or before the due date for their Forms 10-Q for the quarter ended September 30, 2013.

This position is based on the representations made to the Division in your letter. Any different facts or conditions might require the Division to reach a different conclusion. Further, this response expresses the Division's position on enforcement action only and does not express any legal conclusion on the question presented.

Sincerely,

Erin E. Martin
Attorney-Advisor


Incoming Letter:

The Incoming Letter is in Acrobat format.


http://www.sec.gov/divisions/corpfin/cf-noaction/2013/willbrosgroup-110513-12h3.htm


Modified: 11/05/2013