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Comments on Proposed Rule:
Exemption from Shareholder Approval for Certain Subadvisory Contracts
[Release Nos. 33-8312; 34-48683; IC-26230; File No. S7-20-03]
- Comments of Heidi Stam, Principal Securities Regulation, The Vanguard Group, January 8, 2004 (File name: s72003-4.pdf)
- Comments of Christopher E. Palmer and Michael K. Isenman, Shea & Gardner, January 8, 2004 (File name: s72003-1.pdf)
- Comments of Mercer Bullard, Founder & President, Fund Democracy; Barbara Roper, Director of Investor Protection, Consumer Federation of America, January 8, 2004 (File name: funddemoc010804.htm)
- Comments of Laura Anne Corsell, Esq., Corsell Law Group, Ltd., January 7, 2004 (File name: s72003-3.pdf)
- Comments of Edward Loughlin, Executive Vice President, SEI Investments Management Corporation, January 7, 2004 (File name: s72003-2.pdf)
- Comments William F. Quinn, President, of AMR Investment Services, Inc., January 7, 2004 (File name: amrinvest010704.htm)
- Comments of Laura Anne Corsell, Esq., Corsell Law Group, Ltd., January 7, 2004 (File name: corsell010704.htm)
- Comments of Karl J. Ege, General Counsel and Secretary, Frank Russell Investment Management Company, January 8, 2004 (File name: frankrussell010804.htm)
- Comments of Christopher W. Claus, President & Chief Executive Officer, USAA Investment Management Company, January 8, 2004 (File name: usaaimc010804.htm)
- Comments of Amy B. R. Lancellotta, Senior Counsel, Investment Company Institute, January 8, 2004 (File name: ici010804.htm)
http://www.sec.gov/rules/proposed/s72003.shtml
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