Investor Advisory Committee, 48107 [E9-22511]

Download as PDF Federal Register / Vol. 74, No. 181 / Monday, September 21, 2009 / Notices Section 8(a)(17) of the Small Business Act (Act), and 15 U.S.C. 637(a)(17), and SBA’s implementing regulations require that recipients of Federal contracts set aside for small businesses, service-disabled veteran-owned small businesses, or Participants in the SBA’s 8(a) BD Program provide the product of a small business manufacturer or processor, if the recipient is other than the actual manufacturer or processor of the product. This requirement is commonly referred to as the Nonmanufacturer Rule. 13 CFR 121.406(b), 125.15(c). Section 8(a)(17)(b)(iv) of the Act authorizes SBA to waive the Nonmanufacturer Rule for any ‘‘class of products’’ for which there are no small business manufacturers or processors available to participate in the Federal market. In order to be considered available to participate in the Federal market for a class of products, a small business manufacturer must have submitted a proposal for a contract solicitation or received a contract from the Federal government within the last 24 months. The SBA defines ‘‘class of products’’ based on the NAICS. In addition, SBA uses PSCs to identify particular products within the NAICS code to which a waiver would apply. SBA announced its decision to grant a Nonmanufacturer Rule class waiver for radio telephones in the Federal Register on July 20, 1998, 63 FR 38742. Radio telephones are identified in NAICS code 334220 and PSC 5805. The SBA received a request on July 13, 2009 to terminate the Nonmanufacturer Rule class waiver previously granted based on the existence of a small business manufacturer for this item. SBA issued a Federal Register notice of its intent to terminate the class waiver on August 4, 2009, 74 FR 38675. In response to this notice, SBA did not receive nor did SBA discover additional small business manufacturers. Therefore, SBA is terminating the Nonmanufacturer Rule class waiver previously granted for radio telephones, identified under PSC 5805, and NAICS code 334220. mstockstill on DSKH9S0YB1PROD with NOTICES SUPPLEMENTARY INFORMATION: Dated: September 15, 2009. Dean Koppel, Acting Director, Office of Government Contracting. [FR Doc. E9–22628 Filed 9–18–09; 8:45 am] BILLING CODE 8025–01–P VerDate Nov<24>2008 17:24 Sep 18, 2009 Jkt 217001 SECURITIES AND EXCHANGE COMMISSION [Release Nos. 33–9064; 34–60672; File No. 265–25–02] Investor Advisory Committee AGENCY: Securities and Exchange Commission. ACTION: Notice of meeting of SEC Investor Advisory Committee. SUMMARY: The Securities and Exchange Commission Investor Advisory Committee is providing notice that it will hold a public meeting on Monday, October 5, 2009, in the Multipurpose Room, L–006, at the Commission’s main offices, 100 F Street, NE., Washington, DC. The meeting will begin at 9 a.m. (EST) and will be open to the public, except for a period of approximately two hours when the Committee will adjourn and subcommittees will meet. The Committee meeting will be webcast on the Commission’s Web site at https:// www.sec.gov. Persons needing special accommodations to take part because of a disability should notify a contact person listed below. The public is invited to submit written statements to the Committee. The agenda for the meeting includes: (i) A presentation by SEC staff of potential Commission initiatives; (ii) description of the composition and purpose of the Committee’s subcommittees; (iii) consideration of a Committee recusal policy; (iv) reports from the Committee’s subcommittees; and (v) discussion of next steps for the Committee, including regarding SEC resources. DATES: Written statements should be received on or before September 28, 2009. Written statements may be submitted by any of the following methods: ADDRESSES: 48107 used. To help us process and review your statements more efficiently, please use only one method. The Commission staff will post all statements on the Advisory Committee’s Web site (https:// www.sec.gov/spotlight/ investoradvisorycommittee.htm). Statements also will be available for public inspection and copying in the Commission’s Public Reference Room, 100 F Street, NE., Washington, DC 20549, on official business days between the hours of 10 a.m. and 3 p.m. All statements received will be posted without change; we do not edit personal identifying information from submissions. You should submit only information that you wish to make available publicly. FOR FURTHER INFORMATION CONTACT: Kayla J. Gillan, Deputy Chief of Staff, Office of the Chairman, at (202) 551– 2100, or Owen Donley, Chief Counsel, Office of Investor Education and Advocacy, at (202) 551–6322, Securities and Exchange Commission, 100 F Street, NE., Washington, DC 20549– 6561. SUPPLEMENTARY INFORMATION: In accordance with Section 10(a) of the Federal Advisory Committee Act, 5 U.S.C. App. 1, § 10(a), Kayla J. Gillan, Designated Federal Officer of the Committee, has approved publication of this notice. Dated: September 15, 2009. Elizabeth M. Murphy, Committee Management Officer. [FR Doc. E9–22511 Filed 9–18–09; 8:45 am] BILLING CODE 8010–01–P SECURITIES AND EXCHANGE COMMISSION [Release No. 34–60669; File No. SR–FINRA– 2009–058] • Use the Commission’s Internet submission form (https://www.sec.gov/ rules/other.shtml); or • Send an e-mail message to rulecomments@sec.gov. Please include File Number 265–25–02 on the subject line. Self-Regulatory Organizations; Financial Industry Regulatory Authority, Inc.; Notice of Filing of Proposed Rule Change to Adopt FINRA Rule 2232 (Customer Confirmations) in the Consolidated FINRA Rulebook and to Delete NASD Rule 2230, NASD IM–2110–6 and Incorporated NYSE Rule 409(f) Paper Comments September 14, 2009. Electronic Comments • Send paper statements in triplicate to Elizabeth M. Murphy, Federal Advisory Committee Management Officer, Securities and Exchange Commission, 100 F Street, NE., Washington, DC 20549–1090. All submissions should refer to File No. 265–25–02. This file number should be included on the subject line if e-mail is PO 00000 Frm 00057 Fmt 4703 Sfmt 4703 Pursuant to Section 19(b)(1) of the Securities Exchange Act of 1934 (‘‘SEA’’ or ‘‘Act’’)1 and Rule 19b-4 thereunder,2 notice is hereby given that on August 24, 2009, the Financial Industry Regulatory Authority, Inc. (‘‘FINRA’’) (f/ k/a National Association of Securities 1 15 2 17 E:\FR\FM\21SEN1.SGM U.S.C. 78s(b)(1). CFR 240.19b–4. 21SEN1

Agencies

[Federal Register Volume 74, Number 181 (Monday, September 21, 2009)]
[Notices]
[Page 48107]
From the Federal Register Online via the Government Printing Office [www.gpo.gov]
[FR Doc No: E9-22511]


=======================================================================
-----------------------------------------------------------------------

SECURITIES AND EXCHANGE COMMISSION

[Release Nos. 33-9064; 34-60672; File No. 265-25-02]


Investor Advisory Committee

AGENCY: Securities and Exchange Commission.

ACTION: Notice of meeting of SEC Investor Advisory Committee.

-----------------------------------------------------------------------

SUMMARY: The Securities and Exchange Commission Investor Advisory 
Committee is providing notice that it will hold a public meeting on 
Monday, October 5, 2009, in the Multipurpose Room, L-006, at the 
Commission's main offices, 100 F Street, NE., Washington, DC. The 
meeting will begin at 9 a.m. (EST) and will be open to the public, 
except for a period of approximately two hours when the Committee will 
adjourn and subcommittees will meet. The Committee meeting will be 
webcast on the Commission's Web site at https://www.sec.gov. Persons 
needing special accommodations to take part because of a disability 
should notify a contact person listed below. The public is invited to 
submit written statements to the Committee.
    The agenda for the meeting includes: (i) A presentation by SEC 
staff of potential Commission initiatives; (ii) description of the 
composition and purpose of the Committee's subcommittees; (iii) 
consideration of a Committee recusal policy; (iv) reports from the 
Committee's subcommittees; and (v) discussion of next steps for the 
Committee, including regarding SEC resources.

DATES: Written statements should be received on or before September 28, 
2009.

ADDRESSES: Written statements may be submitted by any of the following 
methods:

Electronic Comments

     Use the Commission's Internet submission form (https://www.sec.gov/rules/other.shtml); or
     Send an e-mail message to rule-comments@sec.gov. Please 
include File Number 265-25-02 on the subject line.

Paper Comments

     Send paper statements in triplicate to Elizabeth M. 
Murphy, Federal Advisory Committee Management Officer, Securities and 
Exchange Commission, 100 F Street, NE., Washington, DC 20549-1090.

All submissions should refer to File No. 265-25-02. This file number 
should be included on the subject line if e-mail is used. To help us 
process and review your statements more efficiently, please use only 
one method. The Commission staff will post all statements on the 
Advisory Committee's Web site (https://www.sec.gov/spotlight/investoradvisorycommittee.htm). Statements also will be available for 
public inspection and copying in the Commission's Public Reference 
Room, 100 F Street, NE., Washington, DC 20549, on official business 
days between the hours of 10 a.m. and 3 p.m. All statements received 
will be posted without change; we do not edit personal identifying 
information from submissions. You should submit only information that 
you wish to make available publicly.

FOR FURTHER INFORMATION CONTACT: Kayla J. Gillan, Deputy Chief of 
Staff, Office of the Chairman, at (202) 551-2100, or Owen Donley, Chief 
Counsel, Office of Investor Education and Advocacy, at (202) 551-6322, 
Securities and Exchange Commission, 100 F Street, NE., Washington, DC 
20549-6561.

SUPPLEMENTARY INFORMATION: In accordance with Section 10(a) of the 
Federal Advisory Committee Act, 5 U.S.C. App. 1, Sec.  10(a), Kayla J. 
Gillan, Designated Federal Officer of the Committee, has approved 
publication of this notice.

    Dated: September 15, 2009.
Elizabeth M. Murphy,
Committee Management Officer.
[FR Doc. E9-22511 Filed 9-18-09; 8:45 am]
BILLING CODE 8010-01-P
This site is protected by reCAPTCHA and the Google Privacy Policy and Terms of Service apply.