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7530 Federal Register / Vol. 70, No.

29 / Monday, February 14, 2005 / Notices

Applicant’s Condition other things, (i) the authenticity of the of the Securities Exchange Act of 1934,
Applicant agrees that any order Report of Independent Certified Public issued by Tekron, is suspended for the
granting the requested relief will be Accountants included in IACH’s Form period from 9:30 a.m. e.s.t on February
subject to the following condition: 10–KSB/A for the year ended December 10, 2005, and terminating at 11:59 p.m.
Applicant will comply with all of the 31, 2003, filed with the Commission on e.s.t on February 24, 2005.
provisions of rule 3a–5 under the Act, April 22, 2004, including whether the
By the Commission.
except that: audit report accompanying the financial
statements was prepared and issued by Margaret H. McFarland,
(1) MBIA will not meet the portion of
the auditors identified; and (ii) the Deputy Secretary.
the definition of ‘‘parent company’’
under rule 3a–5(b)(2)(i) solely because it accuracy of statements made in an [FR Doc. 05–2865 Filed 2–10–05; 11:33 am]
is excluded from the definition of amended Form 10–KSB/A for the year BILLING CODE 8010–01–P

investment company under section ended December 31, 2003, filed with the
3(c)(6) of the Act; and Commission on October 15, 2004,
(2) The Subject Controlled Companies including the statement that a second SECURITIES AND EXCHANGE
will not meet the portion of the review of the financial statements is COMMISSION
definition of ‘‘company controlled by being performed by the company’s
the parent company’’ in rule 3a– auditors. [File No. 500–1]
The Commission is of the opinion that
5(b)(3)(i) solely because they are
the public interest and the protection of In the Matter of Greentech USA, Inc;
excluded from the definition of
investors require a suspension of trading Order of Suspension of Trading
investment company under section
in securities related to IACH.
3(c)(2), 3(c)(3), 3(c)(4), 3(c)(5) or 3(c)(6)
Therefore, it is ordered, pursuant to February 10, 2005.
of the Act;
section 12(k) of the Securities Exchange
provided that: It appears to the Securities and
Act of 1934, that trading in all
(a) Any Subject Controlled Company securities, as defined in section 3(a)(10) Exchange Commission that there is a
excluded from the definition of of the Securities Exchange Act of 1934, lack of current and accurate information
investment company under section issued by IACH, is suspended for the concerning the securities of Greentech
3(c)(5) of the Act will fall within section period from 9:30 a.m. e.s.t. on February USA, Inc. (‘‘Greentech’’) because of
3(c)(5)(A) or section 3(c)(5)(B) solely by 10, 2005, and terminating at 11:59 p.m. questions regarding, among other things,
reason of its holdings of accounts e.s.t. on February 24, 2005. (i) the authenticity of the Report of
receivable of either its own customers or Independent Certified Public
By the Commission.
of the customers of other Controlled Accountants included in Greentech’s
Margaret H. McFarland,
Companies, or by reason of loans made Form 10–KSB for the year ended
Deputy Secretary.
by it to such Controlled Companies or December 31, 2003, filed with the
customers, and [FR Doc. 05–2864 Filed 2–10–05; 11:33 am] Commission on April 16, 2004,
(b) MBIA and any Subject Controlled BILLING CODE 8010–01–P including whether the audit report
Company excluded from the definition accompanying the financial statements
of investment company under section was prepared and issued by the auditors
3(c)(6) of the Act will not be engaged SECURITIES AND EXCHANGE
COMMISSION identified; and (ii) the accuracy of
primarily, directly, or through majority- statements made in an amended Form
owned subsidiaries in one or more of [File No. 500–1] 10–KSB/A for the year ended December
the businesses described in section 31, 2003, filed with the Commission on
3(c)(5) of the Act (except as permitted in In the Matter of Tekron, Inc.; Order of
October 15, 2004, including the
(a) above). Suspension of Trading
statement that a second review of the
For the Commission, by the Division of February 10, 2005. financial statements is being performed
Investment Management, under delegated It appears to the Securities and by the company’s auditors.
authority. Exchange Commission that there is a
Margaret H. McFarland,
The Commission is of the opinion that
lack of current and accurate information the public interest and the protection of
Deputy Secretary. concerning the securities of Tekron, Inc. investors require a suspension of trading
[FR Doc. E5–591 Filed 2–11–05; 8:45 am] (‘‘Tekron’’) because of questions in securities related to Greentech.
BILLING CODE 8010–01–P regarding, among other things, the
authenticity of the Report of Therefore, it is ordered, pursuant to
Independent Certified Public section 12(k) of the Securities Exchange
SECURITIES AND EXCHANGE Accountants included in Tekron’s Form Act of 1934, that trading in all
COMMISSION 10–KSB for the annual period ended securities, as defined in section 3(a)(10)
March 31, 2004, filed with the of the Securities Exchange Act of 1934,
[File No. 500–1]
Commission on July 23, 2004, including issued by Greentech, is suspended for
In the Matter of Information Architects whether the audit report accompanying the period from 9:30 a.m. e.s.t. on
Corporation; Order of Suspension of the financial statements was prepared February 10, 2005, and terminating at
Trading and issued by the auditors identified. 11:59 p.m. e.s.t. on February 24, 2005.
The Commission is of the opinion that
February 10, 2005. By the Commission.
the public interest and the protection of
It appears to the Securities and investors require a suspension of trading Margaret H. McFarland,
Exchange Commission that there is a in securities related to Tekron. Deputy Secretary.
lack of current and accurate information Therefore, it is ordered, pursuant to [FR Doc. 05–2866 Filed 2–10–05; 11:37 am]
concerning the securities of Information section 12(k) of the Securities Exchange BILLING CODE 8010–01–P
Architects Corporation (‘‘IACH’’) Act of 1934, that trading in all
because of questions regarding, among securities, as defined in section 3(a)(10)

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