Self-Regulatory Organizations; New York Stock Exchange LLC; Notice of Filing of Proposed Rule Change As Modified by Amendment No. 1 To Amend Certain Corporate Governance Requirements, 48615 [Z9-22392]
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Federal Register / Vol. 74, No. 183 / Wednesday, September 23, 2009 / Notices
Information and Regulatory Affairs,
Office of Management and Budget, New
Executive Office Building, Washington,
DC 20503.
FOR FURTHER INFORMATION CONTACT:
Jacqueline White, Agency Clearance
Officer, (202) 205–7044.
SUPPLEMENTARY INFORMATION:
Title: Entrepreneurial Development
Impact Study.
SBA Form Number: 2214.
Frequency: On Occasion.
Description of Respondents: SBA
Clients.
Responses: 12,435.
Annual Burden: 2,500.
Jacqueline White,
Chief, Administrative Information Branch.
[FR Doc. E9–22845 Filed 9–22–09; 8:45 am]
BILLING CODE 8025–01–P
SECURITIES AND EXCHANGE
COMMISSION
[Release No. 34–60629; File No. SR–CBOE–
2009–063]
Self-Regulatory Organizations;
Chicago Board Options Exchange,
Incorporated; Notice of Filing and
Immediate Effectiveness of Proposed
Rule Change Relating to Temporary
Membership Status and Interim
Trading Permit Access Fees
Correction
In notice document E9–21994
beginning on page 47034 in the issue of
Monday, September 14, 2009, make the
following correction:
On page 47036 in the first paragraph,
the single date on the last line should
read, ‘‘October 5, 2009’’.
[FR Doc. Z9–21994 Filed 9–22–09; 8:45 am]
BILLING CODE 1505–01–D
SECURITIES AND EXCHANGE
COMMISSION
mstockstill on DSKH9S0YB1PROD with NOTICES
[Release No. 34–60653; File No. SR–NYSE–
2009–89]
Self-Regulatory Organizations; New
York Stock Exchange LLC; Notice of
Filing of Proposed Rule Change As
Modified by Amendment No. 1 To
Amend Certain Corporate Governance
Requirements
Correction
In notice document E9–22392
beginning on page 47831 in the issue of
Thursday, September 17, 2009, make
the following correction:
VerDate Nov<24>2008
17:06 Sep 22, 2009
Jkt 217001
On page 47837, in the third column,
in the 24th line from the top, ‘‘October
5, 2009’’ should read ‘‘October 8, 2009’’.
[FR Doc. Z9–22392 Filed 9–22–09; 8:45 am]
BILLING CODE 1505–01–D
SECURITIES AND EXCHANGE
COMMISSION
Submission for OMB Review;
Comment Request
Upon Written Request, Copies Available
From: Securities and Exchange
Commission, Office of Investor
Education and Advocacy,
Washington, DC 20549–0213.
Extension:
Rule 8b–1 to 8b–33, SEC File No. 270–135,
OMB Control No. 3235–0176.
Notice is hereby given that, pursuant
to the Paperwork Reduction Act of 1995
(44 U.S.C. 3501 et seq.), the Securities
and Exchange Commission (the
‘‘Commission’’) has submitted to the
Office of Management and Budget a
request for extension of the previously
approved collection of information
discussed below.
Rules 8b–1 to 8b–33 (17 CFR 270.8b–
1 to 8b–33) under the Investment
Company Act of 1940 (15 U.S.C. 80a–1
et seq.) (the ‘‘Act’’) are the procedural
rules an investment company must
follow when preparing and filing a
registration statement. These rules were
adopted to standardize the mechanics of
registration under the Act and to
provide more specific guidance for
persons registering under the Act than
the information contained in the statute.
For the most part, these procedural rules
do not require the disclosure of
information. Two of the rules, however,
require limited disclosure of
information.1 The information required
by the rules is necessary to ensure that
investors have clear and complete
information upon which to base an
investment decision. The Commission
uses the information that investment
companies provide on registration
statements in its regulatory, disclosure
review, inspection and policy-making
roles. The respondents to the collection
of information are investment
companies filing registration statements
under the Act.
1 Rule 8b–3 (17 CFR 270.8b–3) provides that
whenever a registration form requires the title of
securities to be stated, the registrant must indicate
the type and general character of the securities to
be issued. Rule 8b–22 (17 CFR 270.8b–22) provides
that if the existence of control is open to reasonable
doubt, the registrant may disclaim the existence of
control, but it must state the material facts pertinent
to the possible existence of control.
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48615
The Commission does not estimate
separately the total annual reporting and
recordkeeping burden associated with
rules 8b–1 to 8b–33 because the burden
associated with these rules are included
in the burden estimates the Commission
submits for the investment company
registration statement forms (e.g., Form
N–1A (17 CFR 239.15A and 274.11A),
Form N–2 (17 CFR 239.14 and 274.11a–
1), Form N–3 (17 CFR 239.17a and
274.11b), Form N–4 (17 CFR 239.17b
and 274.11c), and Form N–6 (17 CFR
239.17c and 274.11d)). For example, a
mutual fund that prepares a registration
statement on Form N–1A must comply
with the rules under section 8(b),
including rules on riders, amendments,
the form of the registration statement,
and the number of copies to be
submitted. Because the fund only incurs
a burden from the section 8(b) rules
when preparing a registration statement,
it would be impractical to measure the
compliance burden of these rules
separately. The Commission believes
that including the burden of the section
8(b) rules with the burden estimates for
the investment company registration
statement forms provides a more
accurate and complete estimate of the
total burdens associated with the
registration process. For administrative
purposes, however, we are requesting
approval for an information collection
burden of one hour per year. This
estimate of burden hours is not derived
from a comprehensive or necessarily
even representative study of the cost of
the Commission’s rules and forms.
Investment companies seeking to
register under the Act are required to
provide the information specified in
rules 8b–1 to 8b–33 if applicable.
Responses will not be kept confidential.
An agency may not conduct or
sponsor, and a person is not required to
respond to a collection of information
unless it displays a currently valid OMB
control number.
Please direct general comments
regarding the above information to the
following persons: (i) Desk Officer for
the Securities and Exchange
Commission, Office of Management and
Budget, Room 10102, New Executive
Office Building, Washington, DC 20503
or send an e-mail to Shagufta Ahmed at
Shagufta_Ahmed@omb.eop.gov; and (ii)
Charles Boucher, Director/CIO,
Securities and Exchange Commission,
C/O Shirley Martinson, 6432 General
Green Way, Alexandria, VA 22312; or
send an e-mail to:
PRA_Mailbox@sec.gov. Comments must
be submitted to OMB within 30 days of
this notice.
E:\FR\FM\23SEN1.SGM
23SEN1
Agencies
[Federal Register Volume 74, Number 183 (Wednesday, September 23, 2009)]
[Notices]
[Page 48615]
From the Federal Register Online via the Government Printing Office [www.gpo.gov]
[FR Doc No: Z9-22392]
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SECURITIES AND EXCHANGE COMMISSION
[Release No. 34-60653; File No. SR-NYSE-2009-89]
Self-Regulatory Organizations; New York Stock Exchange LLC;
Notice of Filing of Proposed Rule Change As Modified by Amendment No. 1
To Amend Certain Corporate Governance Requirements
Correction
In notice document E9-22392 beginning on page 47831 in the issue of
Thursday, September 17, 2009, make the following correction:
On page 47837, in the third column, in the 24th line from the top,
``October 5, 2009'' should read ``October 8, 2009''.
[FR Doc. Z9-22392 Filed 9-22-09; 8:45 am]
BILLING CODE 1505-01-D