MEMORANDUM OPINION
WILLIAM M. TAYLOR, JR., Chief Judge.
The Securities and Exchange Commission instituted this action by filing its Complaint on August 8, 1972, seeking to enjoin Defendant IMC International, Inc. ("IMC") from failing to comply with the requirement of Sections 13(a) and 14(f) of the Securities Exchange Act of 1934 ("Exchange Act"), as amended [15 U.S.C. § 78m(a) and 78n(f)] and Rules 13a-1, 13a-11, 13a-13, and 14f-1 promulgated thereunder...
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