4 items, ordered by date. Show on timeline
1. Letter, dated 28 July 1992, from Grant Thornton.
Comments on implementation by self-regulation vs legislation, applicability to smaller companies, non-executive directors and going concern.
2. Letter, dated 30 July 1992, and comments from NN Graham Maw, Rowe & Maw.
Comments on the Code of Best Practice and sets out the author's own code besides commenting on other issues in the report, especially enforcement of the Code.
Includes full text of paper, Self regulation and the financial aspects of corporate governance.
4. Letter, dated 14 August 1995, from Nigel Peace, DTI.
Letter discusses prosposed amendments to the Stock Exchange listing rules and its aim to establish itself as an effective regulator.