99-12933. Notice of Intention To Cancel Registrations of Certain Transfer Agents  

  • [Federal Register Volume 64, Number 98 (Friday, May 21, 1999)]
    [Notices]
    [Pages 27840-27841]
    From the Federal Register Online via the Government Publishing Office [www.gpo.gov]
    [FR Doc No: 99-12933]
    
    
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    SECURITIES AND EXCHANGE COMMISSION
    
    [Release No. 34-41391]
    
    
    Notice of Intention To Cancel Registrations of Certain Transfer 
    Agents
    
    May 12, 1999.
        Notice is given that the Securities and Exchange Commission 
    (``Commission'')
    
    [[Page 27841]]
    
    intends to issue an order, pursuant to section 17A(c)(4)(B) of the 
    Securities Exchange Act of 1934 (Exchange Act),\1\ canceling the 
    registrations of the transfer agents whose names appear in the attached 
    Appendix.
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        \1\ 15 U.S.C. 78q-1(c)(4)(B).
    
    FOR FURTHER INFORMATION CONTACT: Jerry W. Carpenter, Assistant 
    Director, or Gregory J. Dumark, Staff Attorney, at 202/942-4187, 
    Division of Market Regulation, Securities and Exchange Commission, 450 
    Fifth Street, NW., Washington, DC 20549-1001.
    
    Background
    
        On August 12, 1998, the Commission adopted Rule 17Ad-18 under 
    Sections 17(a) of the Exchange Act, which requires non-bank transfer 
    agents to file Form TA-Y2K with the Commission.\2\ Under Rule 17Ad-18, 
    every transfer agent was required to complete and file by August 31, 
    1998, Part I of Form TA-Y2K reflecting its Year 2000 compliance effort 
    as of July 15, 1998. Certain larger transfer agents were also required 
    to complete Part II of Form TA-Y2K.
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        \2\ Release No. 34-40163 (July 2, 1998), 63 FR 37688 (July 13, 
    1998) (``Adopting Release''). See also Release No. 34-39726 (March 
    5, 1998), 63 FR 12062 (March 12, 1998) (``Proposing Release''). Rule 
    17Ad-18 specifically applies to non-bank transfer agents. The term 
    ``non-bank transfer agent'' means a transfer agent whose regulatory 
    agency is the Commission and who also is not a savings association 
    regulated by the Office of Thrift Supervision. 17 C.F.R. 
    Sec. 240.17Ad-18(e).
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        In August 1998, the Commission mailed copies of Form TA-Y2K to all 
    non-bank transfer agents then registered with the Commission.\3\ In 
    September 1998, the Commission mailed letters to the transfer agents, 
    including the transfer agents listed in the Appendix, that had not 
    filed Form TA-Y2K warning them of the possibility of the institution of 
    an administrative proceeding by the Commission. Subsequently, the 
    Commission made additional efforts to locate and determine the status 
    of transfer agents, including the transfer agents listed in the 
    Appendix, that did not file Form TA-Y2K. In some cases the Commission 
    was unable to locate the transfer agent and in other cases the 
    Commission received notification that the transfer agent was no longer 
    in existence or had ceased doing business.
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        \3\ The Commission mailed the Form TA-Y2K to the address 
    provided by each non-bank transfer agent on their Form TA-1. These 
    addresses should be current, as non-bank transfer agents are 
    required to update Form TA-1 promptly for any address changes.
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        To date, the 14 registered transfer agents listed in the Appendix 
    have neither filed Form TA-Y2K nor responded to Commission inquiries. 
    Based on the facts it has, the Commission believes that these transfer 
    agents are no longer in existence or have ceased doing business as a 
    transfer agent. Section 17A(c)(4)(B) of the Exchange Act provides that 
    if the Commission finds that any transfer agent registered with the 
    Commission is no longer in existence or has ceased to do business as a 
    transfer agent, the Commission shall be order cancel that transfer 
    agent's registration. Accordingly, at any time after June 21, 1999, the 
    Commission intends to issue an order cancelling the registrations of 
    any or all of the transfer agents listed in the Appendix.
        Any transfer agent listed in the Appendix that believes its name 
    has been included in the Appendix in error must notify the Commission 
    in writing prior to June 21, 1999 objecting to the cancellation of its 
    registration. Written notifications must be mailed to: Gregory J. 
    Dumark, Division of Market Regulation, Securities and Exchange 
    Commission, 450 Fifth Street, NW., Washington, DC 20549-1001, or be 
    sent via facsimile to (202) 942-9695, Attention: Gregory J. Dumark.
    
        For the Commission by the Division of Market Regulation, 
    pursuant to delegated authority.\4\
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        \4\ 17 CFR 200.30-3(a)(22).
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    Margaret H. McFarland,
    Deputy Secretary.
    
    Appendix--Registration Number and Name
    
    84-1758, Corporate Strategic Services, Inc.
    84-1997, DC Trading & Development Corp.
    84-5406, First Federal Savings Bank Byran Texas
    84-1945, Hawthorne Shareholder Services, Inc.
    84-5553, The Herman Group, Inc.
    84-5522, Keller Financial Services, Inc.
    84-1766, Kinlaw Energy Partners Corp.
    84-5615, NRG Incorporated
    84-5560, Partnership Services, Inc.
    84-0047, Penn Square Management Corporation
    84-5412, Schuster, Jill Lauren
    84-998, Silver Crescent, Inc.
    84-5614, Wisconsin Real Estate Investment Trust
    84-1566, Yreka United, Inc.
    
    [FR Doc. 99-12933 Filed 5-20-99; 8:45 am]
    BILLING CODE 8010-01-M
    
    
    

Document Information

Published:
05/21/1999
Department:
Securities and Exchange Commission
Entry Type:
Notice
Document Number:
99-12933
Pages:
27840-27841 (2 pages)
Docket Numbers:
Release No. 34-41391
PDF File:
99-12933.pdf