Copyright Royalty Board, Library of Congress August 2015 – Federal Register Recent Federal Regulation Documents

The RBB Fund, Inc. and Abbey Capital Limited; Notice of Application
Document Number: 2015-21206
Type: Notice
Date: 2015-08-27
Agency: Copyright Royalty Board, Library of Congress
Sunshine Act Meeting
Document Number: 2015-21079
Type: Notice
Date: 2015-08-25
Agency: Copyright Royalty Board, Library of Congress
Applications by Security-Based Swap Dealers or Major Security-Based Swap Participants for Statutorily Disqualified Associated Persons To Effect or Be Involved in Effecting Security-Based Swaps
Document Number: 2015-19662
Type: Proposed Rule
Date: 2015-08-25
Agency: Copyright Royalty Board, Library of Congress
Pursuant to Section 15F(b)(6) of the Securities Exchange Act of 1934 (``Exchange Act''), as added by Section 764(a) of Title VII of the Dodd-Frank Wall Street Reform and Consumer Protection Act (``Dodd- Frank Act''), the Securities and Exchange Commission (``Commission'') is proposing Rule of Practice 194. Proposed Rule of Practice 194 would provide a process for a registered security-based swap dealer or major security-based swap participant (collectively, ``SBS Entity'') to make an application to the Commission for an order permitting an associated person who is subject to a statutory disqualification to effect or be involved in effecting security-based swaps on behalf of the SBS Entity. Proposed Rule of Practice 194 also would exclude an SBS Entity, subject to certain limitations, from the prohibition in Exchange Act Section 15F(b)(6) with respect to associated persons that are not natural persons for a period of 30 days following the associated person becoming subject to a statutory disqualification or 30 days following the person that is subject to a statutory disqualification becoming an associated person of an SBS Entity; for a period of 180 days following the filing of a complete application under proposed Rule of Practice 194 and notice if the application and notice are filed within the same 30-day time period; and for a period of 180 days following the filing of a complete application with, or initiation of a process by, the Commodity Futures Trading Commission (``CFTC''), a self-regulatory organization (``SRO'') or a registered futures association pending a final decision with respect to an application or process with respect to the associated person for the membership, association, registration or listing as a principal, where the application has been filed or process started prior to or within the same 30-day time period and a notice has been filed with the Commission within the same 30-day time period. The proposed Rule of Practice 194 also would provide, in certain circumstances, for an extension of the temporary exclusion from the prohibition in Exchange Act Section 15F(b)(6) with respect to associated persons that are not natural persons to comply with the prohibition in Section 15F(b)(6). Finally, proposed Rule of Practice 194 would provide that, subject to certain conditions, an SBS Entity may permit an associated person that is subject to a statutory disqualification to effect or be involved in effecting security-based swaps on its behalf, without making an application pursuant to the proposed rule, where the Commission, CFTC, an SRO or a registered futures association has granted a prior application or otherwise granted relief from a statutory disqualification with respect to that associated person.
Adoption of Updated EDGAR Filer Manual
Document Number: 2015-20720
Type: Rule
Date: 2015-08-24
Agency: Copyright Royalty Board, Library of Congress
The Securities and Exchange Commission (the Commission) is adopting revisions to the Electronic Data Gathering, Analysis, and Retrieval System (EDGAR) Filer Manual and related rules to reflect updates to the EDGAR system. The updates are being made primarily to add new NRSRO submission form types for Nationally Recognized Statistical Rating Organization filers; add new applicant types for filers to select when completing the process to apply for EDGAR access (New) on the EDGAR Filer Management Web site; make a documentation only change to Chapter 3, ``Index to Forms,'' of the ``EDGAR Filer Manual, Volume II: EDGAR Filing,'' to update submission form types SF-1 and SF- 3; and make documentation only changes to ``EDGAR Filer Manual, Volume I: General Information'' for compliance with Section 508 of the U.S. Rehabilitation Act. The EDGAR system is scheduled to be upgraded to support this functionality on August 3, 2015. The Filer Manual is also being revised to address software changes made previously in EDGAR. On June 18, 2015, the Regulation A submission form types DOS, DOS/A, 1-A, 1-A/A, 1-A POS, 1-K, 1-K/A, 1-Z, and 1-Z/A in the EDGAR system were modified to display OMB information. On June 29, 2015, the Regulation A submission form types DOS, DOS/A, 1-A, 1-A/A and 1-A POS in the EDGAR system were updated to allow filers to optionally enter values in the ``Name of Class (if any),'' ``CUSIP (if any)'' and ``Name of Trading Center or Quotation Medium (if any)'' field if a value of zero was provided in the ``Units Outstanding'' field for the Common Equity, Preferred Equity, and Debt Securities; and Item 6(e) was updated to Item 6(d) on ``Item 6: Unregistered Securities Issued or Sold Within One Year'' for Regulation A submission form types DOS, DOS/A, 1-A, 1-A/ A, and 1-A POS. Additionally, Item 6(d) was updated to optionally allow a response if ``None'' is selected on ``Item 6: Unregistered Securities Issues or Sold Within One Year.''
Amplify Investments LLC and Amplify ETF Trust; Notice of Application
Document Number: 2015-20660
Type: Notice
Date: 2015-08-21
Agency: Copyright Royalty Board, Library of Congress
Submission for OMB Review; Comment Request
Document Number: 2015-20659
Type: Notice
Date: 2015-08-21
Agency: Copyright Royalty Board, Library of Congress
Submission for OMB Review; Comment Request
Document Number: 2015-20658
Type: Notice
Date: 2015-08-21
Agency: Copyright Royalty Board, Library of Congress
Designation of the Financial Industry Regulatory Authority To Administer Professional Qualification Tests for Associated Persons of Registered Municipal Advisors
Document Number: 2015-20652
Type: Notice
Date: 2015-08-21
Agency: Copyright Royalty Board, Library of Congress
The Commission is designating the Financial Industry Regulatory Authority (``FINRA'') to administer professional qualification tests for associated persons of registered municipal advisors.
Archstone Alternative Solutions Fund and A.P. Management Company, LLC; Notice of Application
Document Number: 2015-20550
Type: Notice
Date: 2015-08-20
Agency: Copyright Royalty Board, Library of Congress
Summary of Application: Applicants request an order to permit a registered closed-end management investment company to issue multiple classes of shares (``Classes'') with varying sales loads and to impose asset-based service and/or distribution fees. Applicants: Archstone Alternative Solutions Fund (``Fund'') and A.P. Management Company, LLC (``Adviser'').
This site is protected by reCAPTCHA and the Google Privacy Policy and Terms of Service apply.