96-26780. Novatek International, Inc.; Order of Suspension of Trading  

  • [Federal Register Volume 61, Number 202 (Thursday, October 17, 1996)]
    [Notices]
    [Page 54246]
    From the Federal Register Online via the Government Publishing Office [www.gpo.gov]
    [FR Doc No: 96-26780]
    
    
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    SECURITIES AND EXCHANGE COMMISSION
    [File No. 500-1]
    
    
    Novatek International, Inc.; Order of Suspension of Trading
    
    October 15, 1996.
        It appears to the Securities and Exchange Commission that questions 
    have been raised about the adequacy and accuracy of publicly-
    disseminated information concerning Novatek International, Inc. 
    concerning, among other things, Novatek's contracts, licenses, and 
    financial condition, including the valuation of certain assets reported 
    on Novatek's financial statements.
        The Commission is of the opinion that the public interest and the 
    protection of investors require a suspension of trading in the 
    securities of the above-listed company.
        Therefore, it is ordered, pursuant to Section 12(k) of the 
    Securities Exchange Act of 1934, that trading in the securities of the 
    above-listed company is suspended for the period from 9:30 a.m. EDT, 
    October 15, 1996 through 11:59 p.m. EDT, on October 28, 1996.
    
        By the Commission.
    Margaret H. McFarland,
    Deputy Secretary.
    
    Service List
    
        The attached Order of Suspension of Trading, pursuant to Rule 12(k) 
    of the Securities Exchange Act of 1934, has been sent to the following 
    persons:
    
    Novatek International, Inc., c/o John Klimek, Fishman & Merrick, P.C., 
    30 N. La Salle, Suite 3500, Chicago, IL 60602
    Mr. Steven Wien, Compliance Director, Wien Securities Corp., 111 
    Pavonia Avenue, Jersey City, NJ 07310
    Mr. Joe Durso, Assistant Compliance Director, Herzog, Heine Geduld, 
    Inc., 525 Washington Blvd., 10th Floor, Jersey City, NJ 07310
    G.V.R. Company, c/o Director of Compliance, 440 S. La Salle Street, 
    Chicago, IL 60605
    Ms. Lisa Seibold, National Financial Services Corporation, 55 Water 
    Street, 22nd Floor, New York, NY 10041
    Ms. Jackie West, Compliance Director, Troster Singer Stevens Rothchild 
    Corp., 10 Exchange Place, 9th Floor, Jersey City, NJ 07302
    Joseph Roberts & Co., c/o Compliance Director, 1900 N.W. Corporate 
    Blvd., Suite 410-W, Boca Raton, FL 33433
    Mr. Ken Worm, National Association of Securities Dealers, Anti-Fraud 
    Division, 1735 K Street, N.W., Washington, DC 20006
    Mr. Scott Donachie, Compliance Director, Knight Securities L.P., 525 
    Washington Blvd., Jersey City, NJ 07310
    Ms. Lisa Antosiewicz, Sr. Vice President, M.H. Myerson & Co., Inc., 30 
    Montgomery Street, Jersey City, NJ 07302
    Mr. Marcus Konig, President, Naib Trading Corporation, 800 E. Cyprus 
    Creek #302, Ft. Lauderdale, FL 33334
    Comprehensive Capital Corp., c/o Compliance Director, 1600 Stewart 
    Ave., Suite 704, Westbury, NY 11590
    Kenny Securities Corporation, 7711 Carondelet Ave., Suite 900, St. 
    Louis, MO 63105
    Vision Securities, Inc., c/o Compliance Director, 522 Willow Avenue, 
    Cedarhurst, NY 11516
    Mr. Gary Kaplowitz, Compliance Director, Fahnstock & Co., Inc., 110 
    Wall Street, New York, NY 10005
    Fiero Brothers, Inc., c/o Compliance Director, 120 Broadway, 7th Floor, 
    New York, NY 10271
    Mr. Peter Scheib, Executive Vice President, Josephthal Lyons & Ross 
    Inc., 200 Park Ave., 24th Floor, New York, NY, 10166
    
    [FR Doc. 96-26780 Filed 10-15-96; 1:04 pm]
    BILLING CODE 8010-10-M
    
    
    

Document Information

Published:
10/17/1996
Department:
Securities and Exchange Commission
Entry Type:
Notice
Document Number:
96-26780
Pages:
54246-54246 (1 pages)
Docket Numbers:
File No. 500-1
PDF File:
96-26780.pdf