December 06, 2012

SEC Publishes CD&Is for Iran Sanctions Disclosures Required Under Exchange Act Section 13(r)

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On December 4, 2012, the staff of the SEC’s Division of Corporation Finance released compliance and disclosure interpretations reflecting the Staff’s views on frequently asked questions relating to Section 13(r) of the Exchange Act. Section 13(r) imposes new requirements on SEC reporting issuers to disclose specified business activities relating to Iran for further investigation by the U.S. Government.

View full memo, "SEC Publishes CD&Is for Iran Sanctions Disclosures Required Under Exchange Act Section 13(r)"

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