Securities traded on exchanges under the Securities Exchange Act as of ..

MISSING IMAGE

Material Information

Title:
Securities traded on exchanges under the Securities Exchange Act as of ..
Physical Description:
Serial
Language:
English
Creator:
United States -- Securities and Exchange Commission
Publisher:
Securities and Exchange Commission
Place of Publication:
Washington, D.C
Publication Date:
Frequency:
annual[1942-]
semiannual[ former 1937-1941]
annual[ former 1936]
annual
regular

Subjects

Subjects / Keywords:
Securities -- Periodicals -- United States   ( lcsh )
Genre:
serial   ( sobekcm )
federal government publication   ( marcgt )

Notes

Additional Physical Form:
Also issued online.
Dates or Sequential Designation:
Dec. 31, 1936-
Numbering Peculiarities:
Report year varies.
General Note:
Kept up to date by monthly supplements.

Record Information

Source Institution:
University of Florida
Rights Management:
All applicable rights reserved by the source institution and holding location.
Resource Identifier:
oclc - 03333125
lccn - 41023651
ocm03333125
Classification:
lcc - HG4556 .U5A36
ddc - 332.63 qU66st
System ID:
AA00011231:00029


This item is only available as the following downloads:


Full Text
* /., ^ )SECURITIES AND EXCHANGE COMMISSION
Washington, D. C.




SECURITIES TRADED ON EXCHANGES
UNDER
THE SECURITIES EXCHANGE ACT



SUPPLEMENT NO. 6

As of

December 31, 1941


Securities added or removed
during the month of December, 1941

Note: Refer to previous supplements
and to base volume as of June 30, 1941


KEY

R Securities registered

P Securities registered on provisional form

X Securities temporarily exempted from registration*

U Securities admitted to unlisted trading privileges**

XL Securities fully listed on exempted exchanges

XU Securities admitted to unlisted trading privileges on
exempted exchanges

The Commission's rule under which securities are temporarily
exempted from registration is indicated immediately follow-
ing the security description.

** Unlisted trading privileges in odd-lots only is indicated
by an asterisk immediately following Exchange abbreviation.




S S.E.C.
SECURITY (
SUB ISSUER FILE
SECURITY O.
SECURITY


AMERADA CORP
NAME CHANGED TO
AMERADA PETROLEUM CORP

ATCHI SON TOPEKA & SANTA F
DELETE
4 1-2 PC CONV DEB GB

BENEF IC I AL I ND LOAN CORP
2 3-4PC 15YR DEBENTURES


E RY CO


1948 NYS R


1956 NYS R


12 868



10 1177






BREWI NG CORP OF AMERI CA
S15 PAR COMMON
TEMPORARILY EXEMPT RULE X 12A 5
$15 PAR COMMON
TEMPORARILY EXEMPT RULE X 12A 5


CLE X

NYS X


BROWN COMPANY
DELETE ALL SECURITIES


CAHIB SYNDICATE LTD
DELETE ALL SECURITIES


CELANESE CORP OF AMERICA
DELETE
$100 PAR 7PC CUM PART 1ST PFD


NYC U


CELLULOID CORP
DELETE ALL SECURITIES


CENTRAL ILLINOIS PUBLIC SERVICE CO
DELETE
3 3-4PC 1ST MTG BONDS SER A 1968 NYC R


CINCINNATI STREET RY CO
S50 PAR COMMON
DESCRIPTION CHANGED OCT 82 1940
$25 PAR COMMON


COLUMBIA GAS & ELECTRIC CORP
DELETE
S100 PAR SPC CUM PFD


CUNEO PRESS INC
4 1-2PC CUM PFD 100 PAR


DETROI T ANU CLEV NAV I NATION CO
S10 PAR CAPITAL
DESCRI OPTION CHANGED TO
S5 PAR CAPITAL


DISTILLED LIQUORS CORP
NAME CHANGED TO
HILDICK PRODUCTS CORP


PIT U



NYS R


ERIE RR CO
COMMON NPV NYS R
COMMON NPV PSE U
CTFS OF BENFL INT OF COMMON NPV NYS R
$100 PAR SPC PARTLY CUM PFD SER A NYS R
$100 PAR 5PC PARTLY CUM PFD SER B NYS R
4 3-4PC 1ST CONS MT B SER A 1957 NYS R
5 1-4PC OHIO DIV 1Sr MTG 8 1971 NYS R
4PC 1ST CONS MTG B SER B 1995 NYS R
4 1-2PC GEN MTG INC B SER A 2015 NYS R


ERIE RR CO REORG MGRS
3 1-4PC OHIO DIV 1ST MTG SFB 1971 NYS R


FOOD MACHI NERY CORP
DELETE
4 1-2 PC CUM CONV PFO 100 PAR NYS R


GEORGI A MARBLE COMPANY
DELETE ALL SECURITIES


10 941


10 180


10 1104


12 1113










12*1113



10 2376




10 1611





INTERBOROUGH RAPID TRANSIT COMPANY
DELETE
$100 PAR COMMON NYS X
TEMPORARILY EXEMPT RULE X 12A 3
7PC 10YR SEC CONV G NOTES 1932 NYS X
TEMPORARILY EXEMPT RULE X 12A 3
6PC 10YR G NOTES 1932 NYS X
TEMPORARILY EXEMPT RULE X 12A 3
5PC 1ST & REF MTG BONDS 1966 NYS X
TEMPORARILY EXEMPT RULE X 12A 3


INTERNATIONAL AGR I CULTURAL CORP
NAME CHANGED TO
INTL MINERALS & CHEMICAL CORP


INTERNATIONAL MERCANTILE MARINE CO
DELETE
6PC 1ST MTG CT SFGB 1941 NYS R


CHAS A KAUFMAN CO LTD
DELETE ALL SECURITIES


KEMPER THOMAS CO
DELETE ALL SECURITIES


LAMSON & SESS IONS CO
$10 PAR COMMON CLE X
TEMPORARILY EXEMPT RULE X 12A 5


MANHATTAN RAILWAY COMPANY
DELETE
$100 PAR 5PC MOD GTD CAPITAL NYS X
TEMPORARILY EXEMPT RULE X 12A 3
$100 PAR 7PC GTD CAPITAL NYS X
TEMPORARILY EXEMPT RULE X 12A 3
4PC CONS MTG GB 1990 NYS X
TEMPORARILY EXEMPT RULE X 12A 3
4PC 2ND MTG GB 2013 NYS X
TEMPORARILY EXEMPT RULE X 12A 3


MILLER WHOLESALE DRUG CO
DELETE ALL SECURITIES


MUSKOGEE COMPANY
COMMON NPV
DESCRIPTION CHANGED TO
$10 PAR COMMON


MUTUAL TELEPHONE COMPANY
DELETE
SUBSCRIPTION RIGHTS DEC 20 1941 HONXL
EXEMPT RULE X 12A 4


NABCO LIQUIDATING COMPANY
DELETE
$100 PAR 5PC CUM PFD SER A NYS R


NEW ENGLAND TEL & TEL CO
SUBSCRIPTI ON RIGHTS JAN 15 1942 BSE X
EXEMPT RULE X 12A 4
SUBSCRIPTI ON RIGHTS JAN 15 1942 NYC X
EXEMPT RULE X 12A 4


NY CHICAGO & ST LOUIS RR CO
DELETE
4PC 10YR CT NOTES 1946 NYS R


NY TRAP ROCK CORP
DELETE ALL SECURITIES


10 208


563



349



313


10 2201









12





10 2719




12 1150






12 2382




10 1160






PACIFIC GAS & ELECTRIC CO
DELETE
6PC 1ST & REF MTG GB SER B 1941 LAS R
6PC 1ST & REF MTG GB SER B 1941 NYC U
6PC 1ST & REF MTG GB SER B 1941 SFS R


PACIFIC TEL & TEL CO
DELETE
SUBSCRIPTI ON RIGHTS DEC 31 1941 NYS X
EXEMPT RULE X 12A 4
SUBSCRIPTION RIGHTS DEC 31 1941 SFS X
EXEMPT RULE X 12A 4


PARAMOUNT PICTURES INC
DELETE
3 1-4PC CONV SF DEBS 1947 NYS R


PATHE FILM CORP
DELETE ALL SECURITIES


REO MOTORS INC VOTING
TRUST EXPIRING OCT 1 1949
NEW VTC FOR 1 PAR CAPITAL DSE X
TEMPORARILY EXEMPT RULE X 12A 5
NEW VTC FOR 1 PAR CAPITAL NYS X
TEMPORARILY EXEMPT RULE X 12A 5
NEW VTC FOR 1 PAR CAPITAL PSE X
TEMPORARILY EXEMPT RULE X 12A 5


REVERE COPPER AND BRASS INC
$5 PAR COMMON
DESCRIPTION CHANGED TO
COMMON NPV


RITTER DENTAL MFG CO INC
NAME CHANGED TO
RITTER COMPANY INC


SAN ANTONIO PUBLIC SERVICE CO
3 1-2PC 1ST MTG BONDS 1970 NYS R


SEAGRAVE CORP
COMMON NPV
DESCRIPTION CHANGED TO
$5 PAR COMMON


SILVER CREST MINES
DELETE ALL SECURITIES


E R SQUIBB & SONS
COMMON NPV NYS R
s5 CUM PFD SER A NPV NYS R


STANDARD OIL CO OF CALIFORNIA
2 3-4PC SF DEBENTURES 1966 NYS R
2 3-4PC SF DEBENTURES 1966 SFS R


SULLIVAN GOLD MINING CO
DELETE ALL SECURITIES


SUPERIOR OIL COMPANY CALIF
3 1-2PC SF DEBENTURES 1956 NYS R
DELETE
3 1-4 PC SF DEBS 1950 NYS R


TERM NAL RR ASSOCIATION OF ST LOUIS
3 3-8PC REF& IMP SF MTG SER B 1974 NYS R


10 2348





12 1414











10 2826



16 3110



















10 3158












10 3162




10 368







23 2896




12 570





UNITED AIRCRAFT CORP
$5 PAR CAPITAL
DESCRIPTION CHANGED TO
$5 PAR COMMON

UNITED STATES LINES INC
DELETE ALL SECURITIES


VOSBURG MINING COMPANY
DELETE ALL SECURITIES


HIRAM WALKER & SONS INC AND
HIRAM WALKER GOODERHAM & WORTS LTD
DELETE ALL SECURITIES


WESTERN NEWSPAPER UNION
6PC CONV G DEB 19
DESCRIPTION CHANGED TO
6PC CONV SF G DEB 19


WESTINGHOUSE ELECTRIC & MFG CO
2 1-8PC DEBENTURES 19


WHEELING STEEL CORP
DELETE
COMMON NPV


10 154







10 2357


44

59


51 NYS R


PIT U


10 977


10 2394




UNIVERSITY OF FLORIDA
3 1 III IIIIIIII262 08741 7928I
3 1262 08741 7928




Full Text
xml version 1.0 encoding UTF-8
REPORT xmlns http:www.fcla.edudlsmddaitss xmlns:xsi http:www.w3.org2001XMLSchema-instance xsi:schemaLocation http:www.fcla.edudlsmddaitssdaitssReport.xsd
INGEST IEID EHZRTSXMK_BDT9FO INGEST_TIME 2012-07-16T15:24:24Z PACKAGE AA00011231_00029
AGREEMENT_INFO ACCOUNT UF PROJECT UFDC
FILES