Sunshine Act Meeting, 65758 [2011-27562]
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65758
Federal Register / Vol. 76, No. 205 / Monday, October 24, 2011 / Notices
Manager, Business Development and
Identity Protection Services, United
States Postal Service, 475 L’Enfant
Plaza, SW., Room 5806, Washington, DC
20260.
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Service, 475 L’Enfant Plaza, SW.,
Washington, DC 20260.
Vice President, Global Business,
United States Postal Service, 475
L’Enfant Plaza, SW., Washington, DC
20260.
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Stanley F. Mires,
Attorney, Legal Policy & Legislative Advice.
USPS 890.000
[FR Doc. 2011–27362 Filed 10–21–11; 8:45 am]
SYSTEM NAME:
Sales, Marketing, Events, and
Publications.
BILLING CODE 7710–12–P
SYSTEM MANAGER(S) AND ADDRESS:
SECURITIES AND EXCHANGE
COMMISSION
[CHANGE TO READ]
President and Chief Marketing/Sales
Officer, United States Postal Service,
475 L’Enfant Plaza, SW., Washington,
DC 20260.
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Vice President, Consumer and
Industry Affairs, United States Postal
Service, 475 L’Enfant Plaza, SW.,
Washington, DC 20260.
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NOTIFICATION PROCEDURE:
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[CHANGE TO READ]
Customers wanting to know if other
information about them is maintained in
this system of records must address
inquiries in writing to the President and
Chief Marketing/Sales Officer, and
include their name and address.
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USPS 900.000
SYSTEM NAME:
International Services.
SYSTEM MANAGER(S) AND ADDRESS:
[CHANGE TO READ]
Vice President, Global Business,
United States Postal Service, 475
L’Enfant Plaza, SW., Washington, DC
20260.
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Sunshine Act Meeting
Notice is hereby given, pursuant to
the provisions of the Government in the
Sunshine Act, Public Law 94–409, that
the Securities and Exchange
Commission will hold an Open Meeting
on Wednesday, October 26, 2011 at 10
a.m., in the Auditorium, Room L–002.
The subject matter of the Open
Meeting will be:
The Commission will consider
whether to adopt a rule requiring
advisers to hedge funds and other
private funds to report information for
use by the Financial Stability Oversight
Council in monitoring risk to the U.S.
financial system. The new Advisers Act
rule would implement sections 404 and
406 of the Dodd-Frank Act.
Commissioner Paredes, as duty
officer, determined that no earlier notice
thereof was possible.
At times, changes in Commission
priorities require alterations in the
scheduling of meeting item.
For further information and to
ascertain what, if any, matters have been
added, deleted or postponed, please
contact:
The Office of the Secretary at (202)
551–5400.
SYSTEM NAME:
[FR Doc. 2011–27562 Filed 10–20–11; 4:15 pm]
Identity and Document Verification
Services.
BILLING CODE 8011–01–P
SYSTEM MANAGER(S) AND ADDRESS:
tkelley on DSK3SPTVN1PROD with NOTICES
USPS 910.000
Dated: October 20, 2011.
Elizabeth M. Murphy,
Secretary.
SECURITIES AND EXCHANGE
COMMISSION
[CHANGE TO READ]
President and Chief Marketing/Sales
Officer, United States Postal Service,
475 L’Enfant Plaza, SW., Washington,
DC 20260.
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NOTIFICATION PROCEDURE:
[DELETE TEXT]
For authentication services, electronic
postmarks, and digital certificates,
inquiries should be addressed to:
VerDate Mar<15>2010
15:34 Oct 21, 2011
Jkt 226001
Sunshine Act Meeting
Notice is hereby given, pursuant to
the provisions of the Government in the
Sunshine Act, Public Law 94–409, that
the Securities and Exchange
Commission will hold a Closed Meeting
on Wednesday, October 26, 2011 at
1 p.m.
Commissioners, Counsel to the
Commissioners, the Secretary to the
PO 00000
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Commission, and recording secretaries
will attend the Closed Meeting. Certain
staff members who have an interest in
the matters also may be present.
The General Counsel of the
Commission, or his designee, has
certified that, in his opinion, one or
more of the exemptions set forth in
5 U.S.C. 552b(c)(3), (5), (7), 9(B) and (10)
and 17 CFR 200.402(a)(3), (5), (7), 9(ii)
and (10) permit consideration of the
scheduled matter at the Closed Meeting.
Commissioner Paredes, as duty
officer, voted to consider the items
listed for the Closed Meeting in a closed
session.
The subject matter of the Closed
Meeting scheduled for Wednesday,
October 26, 2011 will be:
Institution and settlement of injunctive
actions;
Institution and settlement of
administrative proceedings;
A litigation matter; and
Other matters relating to enforcement
proceedings.
At times, changes in Commission
priorities require alterations in the
scheduling of meeting items.
For further information and to
ascertain what, if any, matters have been
added, deleted or postponed, please
contact:
The Office of the Secretary at (202)
551–5400.
October 19, 2011.
Elizabeth M. Murphy,
Secretary.
[FR Doc. 2011–27518 Filed 10–20–11; 11:15 am]
BILLING CODE 8011–01–P
SECURITIES AND EXCHANGE
COMMISSION
[Release No. 34–65585; File No. SR–FINRA–
2011–057]
Self-Regulatory Organizations;
Financial Industry Regulatory
Authority, Inc.; Notice of Filing of
Proposed Rule Change To Adopt New
FINRA Rule 5123 (Private Placements
of Securities)
October 18, 2011.
Pursuant to Section 19(b)(1) of the
Securities Exchange Act of 1934
(‘‘Exchange Act’’) 1 and Rule 19b–4
thereunder,2 notice is hereby given that
on October 5, 2011, Financial Industry
Regulatory Authority, Inc. (‘‘FINRA’’)
filed with the Securities and Exchange
Commission (‘‘SEC’’ or ‘‘Commission’’)
the proposed rule change as described
in Items I, II, and III below, which Items
1 15
2 17
E:\FR\FM\24OCN1.SGM
U.S.C. 78s(b)(1).
CFR 240.19b–4.
24OCN1
Agencies
[Federal Register Volume 76, Number 205 (Monday, October 24, 2011)]
[Notices]
[Page 65758]
From the Federal Register Online via the Government Printing Office [www.gpo.gov]
[FR Doc No: 2011-27562]
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SECURITIES AND EXCHANGE COMMISSION
Sunshine Act Meeting
Notice is hereby given, pursuant to the provisions of the
Government in the Sunshine Act, Public Law 94-409, that the Securities
and Exchange Commission will hold an Open Meeting on Wednesday, October
26, 2011 at 10 a.m., in the Auditorium, Room L-002.
The subject matter of the Open Meeting will be:
The Commission will consider whether to adopt a rule requiring
advisers to hedge funds and other private funds to report information
for use by the Financial Stability Oversight Council in monitoring risk
to the U.S. financial system. The new Advisers Act rule would implement
sections 404 and 406 of the Dodd-Frank Act.
Commissioner Paredes, as duty officer, determined that no earlier
notice thereof was possible.
At times, changes in Commission priorities require alterations in
the scheduling of meeting item.
For further information and to ascertain what, if any, matters have
been added, deleted or postponed, please contact:
The Office of the Secretary at (202) 551-5400.
Dated: October 20, 2011.
Elizabeth M. Murphy,
Secretary.
[FR Doc. 2011-27562 Filed 10-20-11; 4:15 pm]
BILLING CODE 8011-01-P