U. S. Securities and Exchange Commission. Washington. D.C (202) FORMATION OF EMERGING MARKETS ADVISORY COMMITTEE

Similar documents
SEC Chairman Cox Announces Members of Advisory Committee on Improvements to Financial Reporting

THE REGIONAL ECONOMIC BRIEFING FEDERAL RESERVE BANK OF NEW YORK SPEAKERS BIOGRAPHIES AT THE 33 LIBERTY STREET NEW YORK, NY

Accounting and Public Policy Graduate Capstone Course Washington, D.C.

Lessons Learned by Experienced CEOs of Broker-Dealers Thursday, November 12 10:15 a.m. 11:15 a.m.

UNITED STATES SECURITIES AND EXCHANGE COMMISSION Washington, D.C FORM 8-K

FORMER SENIOR CITIGROUP AND BULGE BRACKET EXECUTIVES LAUNCH NEW INTERNATIONAL FINANCIAL SERVICES FIRM

ASX Group Clearing and Settlement Boards

Ask the Regulator and Industry Experts Thursday, September 14 3:30 p.m. 4:30 p.m.

Design Thinking Workshop Friday, October 6 11:00 a.m. 12:00 p.m.

THE REGIONAL ECONOMIC BRIEFING FEDERAL RESERVE BANK OF NEW YORK SPEAKERS BIOGRAPHIES AT THE 33 LIBERTY STREET NEW YORK, NY

Kenneth L. Bachman, Jr.

Fixed Income Sales and Trading: Current Issues Tuesday, May 22 11:15 a.m. 12:15 p.m.

AGENDA. 3. Increase of the size of the Board from 9 to 11 members;

6 TH CHINA INVESTMENT CONFERENCE

MOODY S CORPORATION (Exact Name of Registrant as Specified in Charter)

Mark-Up Disclosure Requirements Thursday, September 14 2:15 p.m. 3:15 p.m.

University of Michigan European BUSINESS. Conference. business. Business in Europe and America: The Paradigms of Today and a Look Ahead

FEDERAL DEPOSIT INSURANCE CORPORATION Washington, DC FORM 8-K

Elections to the Board of Directors

Plenary Session III: Dispelling Myths around the FINRA Board Monday, May 21 4:15 p.m. 5:15 p.m.

ANNUAL GENERAL MEETING AND FORUM ON MARKET TRANSPARENCY

IASB BIOGRAPHIES. BOARD MEMBERS (Participating in the IASB European Roadshows 2005)

Announcement Regarding Candidates for Director and Member Composition of the Three Committees of ORIX Corporation

KENNETH E. BENTSEN, JR. President and CEO SIFMA

CURRICULUM VITAE. H.E Ambassador Ralph S. Thomas

LISA ROTH MONAHAN & ROTH, LLC 630 FIRST AVENUE SAN DIEGO, CA 92101

APPENDIX 9 IDENTIFICATION OF AVISTA AND HYDRO ONE OFFICERS AND EXECUTIVES

The Three Lines of Defense: Risk Management Supervision, Compliance and Internal Audit Monday, May 21 3:00 p.m. 4:00 p.m.

PRINCIPAL FINANCIAL GROUP, INC. (Exact name of registrant as specified in its charter)

EBC Program Series with MassDEP Leadership Commissioner Suuberg and the DEP Headquarters Leadership Team Hot Issues & Ongoing Challenges

Curriculum Vitae. Baudouin PROT Chief Executive Officer of BNP Paribas

THE AMERICAN INTELLECTUAL PROPERTY LAW ASSOCIATION RECOMMENDATIONS REGARDING QUALIFICATIONS FOR

THE GOLDMAN SACHS GROUP, INC.

Election Notice. Notice of Election and Ballots for FINRA Small Firm NAC Member Seat. October 20, Ballots Due: November 20, 2017

Invitation to the Extraordinary General Meeting of UBS AG

Announcement Regarding Candidates for Director and Member Composition of the Three Committees of ORIX Corporation

DELTA AIR LINES, INC. (Exact name of registrant as specified in its charter)

THE FUTURE OF CORPORATE REPORTING Monday 16 May 2016 Great Hall, Chartered Accountants Hall, 1 Moorgate Place, EC2R 6EA, London

THE GOLDMAN SACHS GROUP, INC.

Agenda ANNUAL SEMINAR ON RISK MANAGEMENT AND REGULATORY EXAMINATION/COMPLIANCE ISSUES. October 16-17, 2017

DELTA AIR LINES INC /DE/

LESS ACCOMMODATIVE POLICY AMID QUESTIONS ABOUT THE GLOBAL ORDER

Candidates for Supervisory Board submitted by Shareholder CITIBANK OVERSEAS INVESTMENT CORPORATION

Revenue of $100 million to $1 billion and EBITDA in excess of $20 million

For personal use only

A SELECTED SCORECARD THE ADMINISTRATION S FOREIGN AND TRADE POLICY ONE YEAR IN: OMAHA AMBASSADORS FORUM PRESENTS SPRING 2018

Status of Financial Regulatory Leadership Changes

LAW ENFORCEMENT ASSOCIATES CORP


Revenue of $100 million to $1 billion and EBITDA in excess of $20 million

NMB NATIONAL MEDIATION BOARD LINDA A. PUCHALA HARRY R. HOGLANDER

Announcement Regarding Candidates for Director and Member Composition of the Three Committees of ORIX Corporation

Status of Financial Regulatory Leadership Changes

Board of Directors. Michael George William Barclay. Independent Director. Tsang Yam Pui Chairman and Non-Executive Director

THE GOLDMAN SACHS GROUP, INC.

Participant Biographies

Commission Report on the

The Berkheimer Group at Morgan Stanley

THE MANAGEMENT BOARD. MEMBERS OF THE MANAGEMENT BOARD (as at 31 March 2013) CHAIRMAN NON-EXECUTIVE DIRECTORS

Morgan Stanley (Exact name of registrant as specified in its charter)

Election Notice. Notice of Election and Ballots for FINRA Small Firm NAC Member Seat. October 16, Ballots Due: November 15, 2018

ASX Limited Board of Directors

The Patterson Group at Morgan Stanley Smith Barney

UNITED STATES SECURITIES AND EXCHANGE COMMISSION FORM 8-K. DEERE & COMPANY (Exact name of registrant as specified in its charter)

WILSON SONSINI GOODRICH & ROSATI

The Complexities of Mixed Use

Emerging FinTech Trends (FinTech Track) Tuesday, May 22 10:00 a.m. 11:00 a.m.

STATE OF CONNECTICUT HEALTH AND EDUCATIONAL FACILITIES AUTHORITY Minutes of The Consultant Committee Meeting of May 25, 2004

Annual Risk Management & Regulatory Examination/Compliance Seminar

Our Mission. About Morgan Stanley Wealth Management

Princeton University. Honors Faculty Members Receiving Emeritus Status

The Tribeca Group at Morgan Stanley Smith Barney

Introduction: The Fifth Annual A.A. Sommer, Jr. Lecture on Corporate, Securities & Financial Law

Banking & securities accounting and reporting update

David R. Bell. Edward C. Bernard. Barbara Bittick. Jerome A. Clark, CFA

Morgan Ricks. Vanderbilt University Law School st Avenue South Nashville, TN

Annex: Biographies of New and Re-elected ISCA Council Members

12 th November 2015 Radisson Blu, Golden Lane, Dublin 8

PROPOSED APPOINTMENTS OF DIRECTORS AND SUPERVISORS

The Steven L. Newman Real Estate Institute

ABOUT THE SPEAKER. J. Roderick Heller, III

BIOGRAPHICAL DETAILS OF DIRECTORS, COMPANY SECRETARY AND QUALIFIED ACCOUNTANT

From left: David Chia Chay Poh, Ginney Lim May Ling, Soon Tit Koon, Leong Horn Kee, Chan Heng Loon Alan, Anthony Mallek

COMTECH TELECOMMUNICATIONS CORP /DE/

SPEAKER PROFILE ~~ larry griggs

Steven P. Andreasen Bruce G. Blair Matthew Bunn Sidney D. Drell

Published by News Bites on May 3, Available on Westlaw.

PRESS RELEASE FOR IMMEDIATE RELEASE

thepeaceriverteam

Key Trends Driving Change in the Electric Power Industry

4:30-5:30 pm An Update on Chinese Domestic Politics: Implications for American Business

Biographical Details of Directors and Senior Management

Status of Financial Regulatory Leadership Changes

LBP LEASING and FINANCE CORPORATION

VIRTU FINANCIAL, INC.

National Association of Securities Dealers, Inc K Street, NW Washington, DC November 15, 1997.

The Sanborn Group at Morgan Stanley

SBIR/STTR & Commercialization of University Innovations

SPEAKERS A S H A B A N G A L O R E

Retired President and Chief Executive Officer, The Conference Board, Inc.

Transcription:

l@> U. S. Securities and Exchange Commission Washington. D.C. 20549 (202) 272-2650 [N] ~~ [Ri ~ @)~ FOR IMMEDIATE RELEASE #90-27 FORMATION OF EMERGING MARKETS ADVISORY COMMITTEE Washington, D.C., May 29, 1990 securities and Exchange Commission Chairman Richard C. Breeden announced today the initial appointments to the Commission's Emerging Markets Advisory Committee. Today I s appointments include senior executives of selfregulatory and clearing organizations, major securities and accounting firms, academic experts and others. The members bring to the Advisory Committee expertise in the areas of investment banking, securities brokerage, trading systems, clearance and settlement, back-office procedures and the auditing of securities firms. The members of the Advisory Committee are listed in the attached sheet. In announcing today' s appointments to the Advisory Committee, Chairman Breeden stated: "The Commission is pleased to be able to support President Bush's call for private sector assistance to promote economic development ~n Eastern Europe. We are delighted that these talented private sector experts have agreed to join the Commission's effort to foster the growth of securities and

2 other financial markets in nations with emerging market economies. The members of the Advisory committee have some of the most extensive experience in the operation of securities, options and futures trading systems of firms and organizations in the United states. As a result, they will enable the Commission to respond to requests for assistance with the best combined resources of both the U.s. government and the u.s. private sector." The commission has been asked to provide constructive and concrete assistance to several governments, newly formed securities regulatory organizations and developing securities exchanges. Requests for assistance include difficult tasks of developing trading and clearance and settlement systems, administering licensing of professionals, establishing supervisory and enforcement systems and creating other systems that may be necessary to establish a successful securities market. James R. Doty, newly-named General Counsel of the Commission, and Paul Gonson, Solicitor of the Commission, have just returned from a visi t to Poland and Hungary as part of a Commerce Department mission. This visit included meetings with Polish and Hungarian officials concerning plans for the Commission and the Advisory Commi ttee to provide organized advice and assistance on a wide

3 variety of subjects, including broker-dealer licensing, clearance and settlement procedures and enforcement matters. Although the Advisory Committee's first area of activity will relate to assistance requests from Eastern Europe, the Commission has also had discussions with authorities in Mexico and other countries. Therefore, the. Committee's activities may include assistance to emerging markets in other areas of the world. In undertaking thes'e activities, the Commission is coordinating wi th Deputy Secretary of state Lawrence S. Eagleburger, who is serving as overall Coordinator of U. S. Assistance to Eastern Europe. The Advisory Committee's activities will be an important and unique part of the overall U.S. Government response to developments in Eastern Europe. Senior staff of the Commission participating actively in the work of the Advisory Committee will include Marianne Smythe, Executive Assistant to the Chairman, Richard G. Ketchum, Director of the Division of Market Regulation, Linda C. Quinn, Director.of the Division of Corporation Finance, James R. Doty, General Counsel, Michael D. Mann, Director of the Office of International Affairs, and Dr. Terry M. Chuppe, Deputy Director of the Commission's Office of Economic Analysis and an expert on developing securities markets.

The Advisory committee is expected to hold its first meeting in Washington. Among the topics for discussion will be response to requests from Poland, Hungary and other emerging securities markets requesting assistance, and review of proposals to create an International Securities Market Institute at the Commission.

MEMBERS OF THE SECURITIES AND EXCHANGE COMMISSION'S EMERGING MARKETS ADVISORY COMMITTEE The initial members of the Securities and Exchange Commission's Emerging Markets Advisory Committee are the following: Hans H. Angermueller, Former Vice Chairman, Citicorp, and Chairman, Centrale"de Livraison de Valeurs Mobilieres S.A. (Cedel), a major international clearing organization, based in Luxembourg, for fixed income securities and other financial instruments. Carliss Y. Baldwin, Professor of Business Administration and Director of Research, Graduate Schpol of Business Administration, Harvard University. J. Carter Beese, Jr., Principal, Alex. Brown & Sons, Inc., investment bankers, and Member of the Board, Overseas Private Investment Corporation. Lewis W. Bernard, Managing Director, Morgan Stanley & Co., Inc., investment bankers. Alger B. Chapman, Chairman & Chief Executive Officer, Chicago Board Options Exchange, the world's largest options exchange. J. Michael Cook, Chairman & Chief Executive Officer, ' Deloitte & Touche, a major worldwide accounting firm. Benjamin F. Edwards, III, Chairman, President & Chief Executive Officer, A.G. Edwards & Sons, Inc., investment bankers. Matthew P. Fink, Senior Vice President and General Counsel, Investment Company Institute, the principal trade organization for U.S. investment companies. Joseph R. Hardiman, President, National Association of Securities Dealers, Inc. William H. He)~an, Managing Director, Smith Barney, Harris Upham & Co., Inc" investment bankers.

2 James R. Jones, Chairman & Chief Executive Officer, American stock Exchange, Inc. David M. Kelly, President and Chief Executive Officer, National securities Clearing Corporation, the leading u.s. clearing corporation for processing,transactions in corporate, municipal and mutual fund securities. Gordon s. Macklin, Chairman, Hambrecht & Quist, Inc., a securities firm active in the venture capital market. Charles B. McQuade, President and Chief Executive Officer, Securities Industry Automation corporation, the automation arm of the American and New York stock Exchanges, providing automation support for those exchanges and the National securities Clearing Corporation. Leo Melamed, Chairman of the Executive Committee, Chicago Mercantile Exchange, the world's largest stock index futures market. Michael Minikes, Senior Managing Director and Treasurer, The Bear Stearns Companies Inc., investment bankers. Shaun F. O'Malley, Chairman and Senior Partner, Price Waterhouse, a major worldwide accounting firm. John R. Opel, chairman of the Executive Committee and former Chairman and Chief Executive Officer, International Business Machines Corporation. Aulana L. Peters, Partner, Gibson, Dunn & Crutcher, Director, New York Stock Exchange, and former commissioner, Securities and Exchange Commission. John J. Phelan, Jr., Chairman & Chief Executive Officer, New York Stock Exchange, Inc. Michael Raoul-Duval, Managing Director, The First Boston Corporation,' investment bankers.

3 William A. Schreyer, Chairman & Chief Executive Officer, Merrill Lynch & Co., Inc., investment bankers. Stanley B. Shopkorn, Vice Chairman, Salomon Brothers, Inc., investment bankers. James C. Van Horne, A.P. Giannini Professor of Banking and Finance, Graduate School of Business, Stanford University. Roy J. Zuckerberg, General Partner, Goldman Sachs & Co., investment bankers. Ex Officio Members: The Honorable C. Austin Fitts, Assistant Secretary for Housing Federal Housing Commissioner, Department of Housing and Urban Development and former Managing Director, Dillon, Read & Co., Inc. The Honorable David W. Mullins, Governor, Federal Reserve Board, and former Assistant Secretary for Domestic Finance,' Department of the Treasury. The Honorable Wendell L. Willkie, II, General Counsel, Department of Commerce.