Sunday, July 07, 2013 11:44:34 AM
I saw that. Katherine m helm was on one of those.
http://nvsos.gov/SOSEntitySearch/CorpDetails.aspx?lx8nvq=hRmkMiNvkoY5LW1vn9HAoQ%253d%253d&nt7=0I
looked her up and this is permenently revoked.
http://nvsos.gov/SOSEntitySearch/CorpDetails.aspx?lx8nvq=9aZkuW2gOnmabhXviLkLGw%253d%253d
What's that about?
So here's another question.
Why would he be at three companies, two of which do the same thing right now?
I'm going to,try to verify this orphan energy company. Is that the name of the company?
http://www.linkedin.com/in/growpublic?_mSplash=1
Chief Executive Officer
Corporate Regulatory Services, Inc.
May 2011 – Present (2 years 3 months) San Antonio, Texas
CRS has a basic business focus to provide document and consulting support for our private business clients who desire to become a publicly traded company on the OTCBB® through a self-underwritten initial offering of its capital stock (the “Limited Public Offering”) and subsequent registration filings with the Securities and Exchange Commission (“SEC”) pursuant to the Securities and Exchange Act of 1933, as amended (the “Securities Act”).
President
Orphan Energy Company
April 2011 – Present (2 years 4 months)
The Company plans to purchase and rework existing oil and gas producing wells. Additionally, the Company will serve as the lead GP on several oil and gas financing projects in the State of Texas and Oklahoma.
President
Grow Public, Inc.
Privately Held; 1-10 employees; Venture Capital & Private Equity industry
October 2009 – Present (3 years 10 months)
GROW PUBLIC, INC. has a basic business focus to provide document and consulting support for our private business clients who desire to become a publicly traded company on the OTCBB® through a self-underwritten initial offering of its capital stock (the “Limited Public Offering”) and subsequent registration filings with the Securities and Exchange Commission (“SEC”) pursuant to the Securities and Exchange Act of 1933, as amended (the “Securities Act”). Our main goal as a management consulting firm is to educate and assist small businesses to improve their management, corporate governance, regulatory compliance and other business processes, with a focus on immediate capital market participation. Grow Public plans to become a one-stop support service for micro-cap and small-cap public companies. We espouse a more direct path to long-term capital development for our clients which includes a strategy to get publicly traded in the initial round of capital investment pursuant to a Limited Public Offering in an effort to provide the client an ability to attract capital from larger, more traditional investment sources by providing investment liquidity that comes with being a publicly traded entity.
Owner
Public Company Compliance, Inc.
September 2006 – December 2009 (3 years 4 months)
Micro-Cap and Small-Cap assistance with regards to federal and state (blue sky) securities offerings, listing on the OTCBB through FINRA, and other related securities offering disclosure documents and filings.
Exective Officer and Director
NevWest Securities Corporation
January 1998 – April 1999 (1 year 4 months)
Co-Founder, Principal and Co-Owner of what was at the time the only State of Nevada home-based Level Three, Market Making Broker-Dealer. Fully licensed with the SEC and FINRA (fka NASD).
BD specialized in making introductory markets in Pink Sheet and OTCBB companies, maintaining trading markets, Private Placement Funding, Public Offering Funding (COBRA Desk filings), and assistance with merger/acquisitions.
President and CEO
Campbell Mello Associates, Inc.
November 1995 – April 1999 (3 years 6 months)
Co-Founder of one of the first Internet consulting firms offering corporate securities advice to small business operations, assistance with federally exempt, State of Nevada registered self-underwritten offering (Direct Public Offerings), development of corporate documentation from initial incorporation to filings with the SEC to public listing applications, and everything in between, development of offering disclosure documentation for both private and public offerings, and consultation with regards to structuring mergers/acquisitions, and the development of an active "MicroCap Angel Investor" network in the State of Nevada.
CMA was started in 1995 with very little capital to grossing between $3M-$4M in cash revenues fiscal year 1998 and 1999.
CMA was the impetus for the formation, funding, and operation of NevWest Securities Corporation, a fully licensed (SEC and NASD) level three, market making broker dealer.
Securities Examiner
Securities Division of the Office of the Secretary of State (Nevada Securities Division)
October 1995 – September 1996 (1 year)
My responsibilities included:
(1) the review and comment letter preparation with regards to the filing by an Issuer of a Federal Registration Statement for sale to residents of the State of Nevada (N.R.S. 90.480 Registration by Coordination);
(2) the review and comment letter preparation with regards to the filing by an Issuer of Federally Exempt Offering Memorandum for sale to residents of the State of Nevada (N.R.S. 90.490 Registration by Qualification);
(3) the research and draft legal responses to requests by the public of a “No-Action Letter” pursuant to pursuant to N.R.S. 90.715 and N.A.C. 90.318;
(4) the preparation of new or revised rules and regulations for the potential amendment of N.R.S. Chapter 90 (Securities – Nevada Uniform Securities Act) and N.A.C. Chapter 90 (Administrative Rules to N.R.S. Chapter 90);
(5) the preparation of legal responses to any requests for information or guidance from the Nevada Attorney General’s Office in their preparation of “AG Legal Opinions”; and
(5) assisting the Enforcement Division of the Securities Division with potential investigations and responding to complaints filed with the Nevada Securities Division pursuant to the “Enforcement and Civil Liability” section of the Nevada Uniform Securities Act (N.R.S. 90.615 through 90.700).
Data Collections Supervisor
Hogan Information Services (Oklahoma)
August 1993 – September 1995 (2 years 2 months)
Supervised data collection contractors in a three state region (Kansas, Nebraska, and Arkansas) who collected information such as civil judgments and satisfactions, bankruptcy filings, and tax liens (State and Federal) on individual's for the major credit score companies such as Equifax, Transunion, and TRW.
My responsibilities included the hiring, training, accuracy testing, and long term monitoring of independent contractors who gathered this information from the county courthouse in everyone county in my region. I personally supervised over 30 data collectors in 273 separate counties in this three state region.
Securities Legal Intern
Oklahoma Securities Commission
June 1990 – July 1993 (3 years 2 months)
Was hired as a summer legal intern after my initial year at the University of Oklahoma, College of Law. I was retained as a part time employee for the rest of my post graduate studies and performed the duties of a full "Securities Examiner".
My responsibilities included the review of mutual fund filings, preparation of comment letters with regards to registration filings (Coordination and Qualification), research with regards to enforcement actions, research with regards to "No-Action" and "Interpretive Opinion" requests, and exempt offering notice filing coordination with Issuers.
http://nvsos.gov/SOSEntitySearch/CorpDetails.aspx?lx8nvq=hRmkMiNvkoY5LW1vn9HAoQ%253d%253d&nt7=0I
looked her up and this is permenently revoked.
http://nvsos.gov/SOSEntitySearch/CorpDetails.aspx?lx8nvq=9aZkuW2gOnmabhXviLkLGw%253d%253d
What's that about?
So here's another question.
Why would he be at three companies, two of which do the same thing right now?
I'm going to,try to verify this orphan energy company. Is that the name of the company?
http://www.linkedin.com/in/growpublic?_mSplash=1
Chief Executive Officer
Corporate Regulatory Services, Inc.
May 2011 – Present (2 years 3 months) San Antonio, Texas
CRS has a basic business focus to provide document and consulting support for our private business clients who desire to become a publicly traded company on the OTCBB® through a self-underwritten initial offering of its capital stock (the “Limited Public Offering”) and subsequent registration filings with the Securities and Exchange Commission (“SEC”) pursuant to the Securities and Exchange Act of 1933, as amended (the “Securities Act”).
President
Orphan Energy Company
April 2011 – Present (2 years 4 months)
The Company plans to purchase and rework existing oil and gas producing wells. Additionally, the Company will serve as the lead GP on several oil and gas financing projects in the State of Texas and Oklahoma.
President
Grow Public, Inc.
Privately Held; 1-10 employees; Venture Capital & Private Equity industry
October 2009 – Present (3 years 10 months)
GROW PUBLIC, INC. has a basic business focus to provide document and consulting support for our private business clients who desire to become a publicly traded company on the OTCBB® through a self-underwritten initial offering of its capital stock (the “Limited Public Offering”) and subsequent registration filings with the Securities and Exchange Commission (“SEC”) pursuant to the Securities and Exchange Act of 1933, as amended (the “Securities Act”). Our main goal as a management consulting firm is to educate and assist small businesses to improve their management, corporate governance, regulatory compliance and other business processes, with a focus on immediate capital market participation. Grow Public plans to become a one-stop support service for micro-cap and small-cap public companies. We espouse a more direct path to long-term capital development for our clients which includes a strategy to get publicly traded in the initial round of capital investment pursuant to a Limited Public Offering in an effort to provide the client an ability to attract capital from larger, more traditional investment sources by providing investment liquidity that comes with being a publicly traded entity.
Owner
Public Company Compliance, Inc.
September 2006 – December 2009 (3 years 4 months)
Micro-Cap and Small-Cap assistance with regards to federal and state (blue sky) securities offerings, listing on the OTCBB through FINRA, and other related securities offering disclosure documents and filings.
Exective Officer and Director
NevWest Securities Corporation
January 1998 – April 1999 (1 year 4 months)
Co-Founder, Principal and Co-Owner of what was at the time the only State of Nevada home-based Level Three, Market Making Broker-Dealer. Fully licensed with the SEC and FINRA (fka NASD).
BD specialized in making introductory markets in Pink Sheet and OTCBB companies, maintaining trading markets, Private Placement Funding, Public Offering Funding (COBRA Desk filings), and assistance with merger/acquisitions.
President and CEO
Campbell Mello Associates, Inc.
November 1995 – April 1999 (3 years 6 months)
Co-Founder of one of the first Internet consulting firms offering corporate securities advice to small business operations, assistance with federally exempt, State of Nevada registered self-underwritten offering (Direct Public Offerings), development of corporate documentation from initial incorporation to filings with the SEC to public listing applications, and everything in between, development of offering disclosure documentation for both private and public offerings, and consultation with regards to structuring mergers/acquisitions, and the development of an active "MicroCap Angel Investor" network in the State of Nevada.
CMA was started in 1995 with very little capital to grossing between $3M-$4M in cash revenues fiscal year 1998 and 1999.
CMA was the impetus for the formation, funding, and operation of NevWest Securities Corporation, a fully licensed (SEC and NASD) level three, market making broker dealer.
Securities Examiner
Securities Division of the Office of the Secretary of State (Nevada Securities Division)
October 1995 – September 1996 (1 year)
My responsibilities included:
(1) the review and comment letter preparation with regards to the filing by an Issuer of a Federal Registration Statement for sale to residents of the State of Nevada (N.R.S. 90.480 Registration by Coordination);
(2) the review and comment letter preparation with regards to the filing by an Issuer of Federally Exempt Offering Memorandum for sale to residents of the State of Nevada (N.R.S. 90.490 Registration by Qualification);
(3) the research and draft legal responses to requests by the public of a “No-Action Letter” pursuant to pursuant to N.R.S. 90.715 and N.A.C. 90.318;
(4) the preparation of new or revised rules and regulations for the potential amendment of N.R.S. Chapter 90 (Securities – Nevada Uniform Securities Act) and N.A.C. Chapter 90 (Administrative Rules to N.R.S. Chapter 90);
(5) the preparation of legal responses to any requests for information or guidance from the Nevada Attorney General’s Office in their preparation of “AG Legal Opinions”; and
(5) assisting the Enforcement Division of the Securities Division with potential investigations and responding to complaints filed with the Nevada Securities Division pursuant to the “Enforcement and Civil Liability” section of the Nevada Uniform Securities Act (N.R.S. 90.615 through 90.700).
Data Collections Supervisor
Hogan Information Services (Oklahoma)
August 1993 – September 1995 (2 years 2 months)
Supervised data collection contractors in a three state region (Kansas, Nebraska, and Arkansas) who collected information such as civil judgments and satisfactions, bankruptcy filings, and tax liens (State and Federal) on individual's for the major credit score companies such as Equifax, Transunion, and TRW.
My responsibilities included the hiring, training, accuracy testing, and long term monitoring of independent contractors who gathered this information from the county courthouse in everyone county in my region. I personally supervised over 30 data collectors in 273 separate counties in this three state region.
Securities Legal Intern
Oklahoma Securities Commission
June 1990 – July 1993 (3 years 2 months)
Was hired as a summer legal intern after my initial year at the University of Oklahoma, College of Law. I was retained as a part time employee for the rest of my post graduate studies and performed the duties of a full "Securities Examiner".
My responsibilities included the review of mutual fund filings, preparation of comment letters with regards to registration filings (Coordination and Qualification), research with regards to enforcement actions, research with regards to "No-Action" and "Interpretive Opinion" requests, and exempt offering notice filing coordination with Issuers.
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