Investment Company Act Rule 17f-5

· Letter to Michael E. Bartell, Associate Executive Director, Office of Information Technology, S.E.C., regarding: Request for Comments Regarding Information Collection Requirements Under Rule 17f-5 and Rule 17f-7, June 28, 2002

· Letter to Paul F. Roye, Director, Division of Investment Management, S.E.C., regarding: Treatment of Securities Depositories under Rule 17f-5, April 7, 1999

· Letter to Paul F. Roye, Director, Division of Investment Management, S.E.C., regarding: Revised Joint Proposal Regarding Rule 17-f, February 26, 1999, [Submitted Jointly with the Investment Company Institute]

· Letter to Barry P. Barbash, Director, Division of Investment Management, S.E.C., regarding: Evaluation of Depositories under Amended Rule 17f-5, June 30, 1998, [Submitted Jointly with the Investment Company Institute]

· Letter to Douglas J. Scheidt, Chief Counsel, Office of Associate Director (Chief Counsel), Division of Investment Management, S.E.C., regarding: Request for Interpretive Advice Concerning the Application of Investment Company Act Rule 17f-5(c) to Certain Depositories, December 11, 1997

 

 

 

 

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