Self-Regulatory Organizations; International Securities Exchange, LLC; Notice of Designation of Longer Period for Commission Action on Proposed Rule Change Amending Its Information Barrier Rules, 69547-69548 [2014-27571]

Download as PDF Federal Register / Vol. 79, No. 225 / Friday, November 21, 2014 / Notices the date of the filing. However, pursuant to Rule 19b–4(f)(6)(iii),17 CME Inc. has asked the Commission to waive the fiveday pre-filing requirement and the 30day operative delay so that the proposed rule change may become operative immediately upon filing.18 The Commission believes that waiver of the 30-day operative delay is appropriate, as CME Inc. has, to date, never performed the functions of a clearing agency with respect to SBSs, and the rule text removed or altered as a result the proposed rule change removes any ambiguity concerning CME Inc.’s ability or desire to perform the functions of a clearing agency with respect to SBSs. Therefore, the Commission believes that waiving the 30-day operative delay is consistent with the protection of investors and the public interest and designates the proposed rule change as operative upon filing.19 At any time within 60 days of the filing of the proposed change, the Commission summarily may temporarily suspend such rule change if it appears to the Commission that such action is necessary or appropriate in the public interest, for the protection of investors, or otherwise in furtherance of the purposes of the Act. If the Commission takes such action, the Commission shall institute proceedings to determine whether the proposed rule change should be approved or disapproved. IV. Solicitation of Comments Interested persons are invited to submit written data, views and arguments concerning the foregoing, including whether the proposed rule change is consistent with the Act. Comments may be submitted by any of the following methods: Electronic Comments • Use the Commission’s Internet comment form (https://www.sec.gov/ rules/sro.shtml), or • Send an email to rule-comments@ sec.gov. Please include File No. SR– CME–2014–49 on the subject line. 17 17 CFR 240.19b–4(f)(6)(iii). 19b–4(f)(6)(iii) requires a self-regulatory organization to submit to the Commission written notice of its intent to file the proposed rule change, along with a brief description and text of the proposed rule change, at least five business days prior to the date of filing of the proposed rule change, or such shorter time as designated by the Commission. 17 CFR 240.19b–4(f)(6)(iii). The Commission has waived the five-day pre-filing period in this case. 19 Solely for purposes of waiving the 30-day operative delay, the Commission has considered the proposed rule’s impact on efficiency, competition, and capital formation. See 15 U.S.C. 78c(f). mstockstill on DSK4VPTVN1PROD with NOTICES 18 Rule VerDate Sep<11>2014 18:00 Nov 20, 2014 Jkt 235001 Paper Comments • Send paper comments in triplicate to Secretary, Securities and Exchange Commission, 100 F Street NE., Washington, DC 20549–1090. All submissions should refer to File Number SR–CME–2014–49. This file number should be included on the subject line if email is used. To help the Commission process and review your comments more efficiently, please use only one method. The Commission will post all comments on the Commission’s Internet Web site (https://www.sec.gov/ rules/sro.shtml). Copies of the submission, all subsequent amendments, all written statements with respect to the proposed rule change that are filed with the Commission, and all written communications relating to the proposed rule change between the Commission and any person, other than those that may be withheld from the public in accordance with the provisions of 5 U.S.C. 552, will be available for Web site viewing and printing in the Commission’s Public Reference Room, 100 F Street NE., Washington, DC 20549, on official business days between the hours of 10:00 a.m. and 3:00 p.m. Copies of such filing also will be available for inspection and copying at the principal office of CME Inc. and on CME Inc.’s Web site at https://www.cmegroup.com/ market-regulation/rule-filings.html. All comments received will be posted without change; the Commission does not edit personal identifying information from submissions. You should submit only information that you wish to make available publicly. All submissions should refer to File Number SR–CME–2014–49 and should be submitted on or before December 12, 2014. For the Commission, by the Division of Trading and Markets, pursuant to delegated authority.20 Kevin M. O’Neill, Deputy Secretary. [FR Doc. 2014–27572 Filed 11–20–14; 8:45 am] 69547 SECURITIES AND EXCHANGE COMMISSION [Release No. 34–73614; File No. SR–ISE– 2014–43] Self-Regulatory Organizations; International Securities Exchange, LLC; Notice of Designation of Longer Period for Commission Action on Proposed Rule Change Amending Its Information Barrier Rules November 17, 2014. On September 15, 2014, International Securities Exchange, LLC (the ‘‘Exchange’’) filed with the Securities and Exchange Commission (‘‘Commission’’), pursuant to Section 19(b)(1) of the Securities Exchange Act of 1934 (‘‘Act’’) 1 and Rule 19b–4 thereunder,2 a proposed rule change amending its information barrier rules. The proposed rule change was published for comment in the Federal Register on October 6, 2014.3 The Commission received one comment letter 4 on the proposed rule change and one rebuttal letter from the Exchange.5 Section 19(b)(2) of the Act 6 provides that within 45 days of the publication of notice of the filing of a proposed rule change, or within such longer period up to 90 days as the Commission may designate if it finds such longer period to be appropriate and publishes its reasons for so finding or as to which the self-regulatory organization consents, the Commission shall either approve the proposed rule change, disapprove the proposed rule change, or institute proceedings to determine whether these proposed rule changes should be disapproved. The 45th day for this filing is November 20, 2014. The Commission is extending the 45day time period for Commission action on the proposed rule change. The Commission finds that it is appropriate to designate a longer period within which to take action on the proposed rule change so that it has sufficient time to review the comment letter submitted in response to the Notice, to review the Exchange’s response to such comment letter, and to consider and take action on the Exchange’s proposed rule change. BILLING CODE 8011–01–P 1 15 U.S.C. 78s(b)(1). CFR 240.19b–4. 3 See Securities Exchange Act Release No. 73261 (October 6, 2014), 79 FR 60226 (‘‘Notice’’). 4 See Letter from John Kinahan, Chief Executive Officer, Group One Trading, L.P., dated October 27, 2014. 5 See Letter from Michael J. Simon, Secretary and General Counsel, International Securities Exchange, LLC, dated November 14, 2014. 6 15 U.S.C. 78s(b)(2). 2 17 20 17 PO 00000 CFR 200.30–3(a)(12). Frm 00127 Fmt 4703 Sfmt 4703 E:\FR\FM\21NON1.SGM 21NON1 69548 Federal Register / Vol. 79, No. 225 / Friday, November 21, 2014 / Notices Accordingly, pursuant to Section 19(b)(2)(A)(ii)(I) of the Act 7 and for the reasons stated above, the Commission designates January 2, 2015, as the date by which the Commission should either approve or disapprove, or institute proceedings to determine whether to disapprove, the proposed rule change (File No. SR–ISE–2014–43). For the Commission, by the Division of Trading and Markets, pursuant to delegated authority.8 Kevin M. O’Neill, Deputy Secretary. [FR Doc. 2014–27571 Filed 11–20–14; 8:45 am] BILLING CODE 8011–01–P DEPARTMENT OF TRANSPORTATION Federal Aviation Administration Aviation Rulemaking Advisory Committee; Meeting Federal Aviation Administration (FAA), DOT. ACTION: Notice of Aviation Rulemaking Advisory Committee (ARAC) meeting. AGENCY: The FAA is issuing this notice to advise the public of a meeting of the ARAC. DATES: The meeting will be held on December 18, 2014, starting at 1:00 p.m. Eastern Standard Time. Arrange oral presentations by December 11, 2014. ADDRESSES: The meeting will take place at the Federal Aviation Administration, 800 Independence Avenue SW., Washington, DC 20591, 5th floor, 5A/B/ C Conference Rooms. FOR FURTHER INFORMATION CONTACT: Renee Pocius, Federal Aviation Administration, 800 Independence Avenue SW., Washington, DC 20591, telephone (202) 267–5093; fax (202) 267–5075; email Renee.Pocius@faa.gov. SUPPLEMENTARY INFORMATION: Pursuant to Section 10(a)(2) of the Federal Advisory Committee Act (5 U.S.C. App. 2), we are giving notice of a meeting of the ARAC taking place on December 18, 2014, at the Federal Aviation Administration, 800 Independence Avenue SW., Washington, DC 20591. The Agenda includes: 1. Request for Clarification: a. Avionics Systems Harmonization Working Group (TAE)—Phase 2 Low Airspeed Alerting. 2. Status Reports From Active Working Groups: a. AC 120–17A Maintenance Control by Reliability Methods (ARAC). mstockstill on DSK4VPTVN1PROD with NOTICES SUMMARY: 7 15 8 17 U.S.C. 78s(b)(2)(A)(ii)(I). CFR 200.30–3(a)(31). VerDate Sep<11>2014 18:00 Nov 20, 2014 Jkt 235001 b. Airman Certification Systems Working Group (ARAC). c. Airworthiness Assurance Working Group (TAE). d. Engine Harmonization Working Group (TAE). i. Engine Bird Ingestion. ii. Engine Endurance Testing Requirements—Revision of Section 33.87. e. Flight Test Harmonization Working Group (TAE)—Phase 2 Tasking. 3. New Tasks: a. Transport Airplane DamageTolerance and Fatigue Evaluation (TAE). b. Transport Airplane Crashworthiness and Ditching Evaluation (TAE). c. Materials Flammability Working Group (TAE). d. Aircraft Systems Information Security Protection (ASISP) Working Group. 4. ARAC Bylaws: 5. Status Report From the FAA: Attendance is open to the interested public but limited to the space available. Please confirm your attendance with the person listed in the FOR FURTHER INFORMATION CONTACT section no later than December 11, 2014. Please provide the following information: Full legal name, country of citizenship, and name of your industry association, or applicable affiliation. If you are attending as a public citizen, please indicate so. For persons participating by telephone, please contact the person listed in the FOR FURTHER INFORMATION CONTACT section by email or phone for the teleconference call-in number and passcode. Callers outside the Washington metropolitan area are responsible for paying long-distance charges. The public must arrange by December 11, 2014 to present oral statements at the meeting. The public may present written statements to the Aviation Rulemaking Advisory Committee by providing 25 copies to the Designated Federal Officer, or by bringing the copies to the meeting. If you are in need of assistance or require a reasonable accommodation for this meeting, please contact the person listed under the heading FOR FURTHER INFORMATION CONTACT. Sign and oral interpretation, as well as a listening device, can be made available if requested 10 calendar days before the meeting. PO 00000 Frm 00128 Fmt 4703 Sfmt 4703 Issued in Washington, DC, on November 18, 2014. Lirio Liu, Designated Federal Officer, Aviation Rulemaking Advisory Committee. [FR Doc. 2014–27602 Filed 11–20–14; 8:45 am] BILLING CODE 4910–13–P DEPARTMENT OF TRANSPORTATION Federal Aviation Administration Twenty-Ninth Meeting: RTCA Special Committee 224, Airport Security Access Control Systems Federal Aviation Administration (FAA), U.S. Department of Transportation (DOT). ACTION: Meeting notice of RTCA Special Committee 224, Airport Security Access Control Systems. AGENCY: The FAA is issuing this notice to advise the public of the twenty-ninth meeting of the RTCA Special Committee 224, Airport Security Access Control Systems. SUMMARY: The meeting will be held on December 10th, 2014 from 10:00 a.m.– 2:00 p.m. ADDRESSES: The meeting will be held at RTCA, Inc., 1150 18th Street NW., Suite 910, Washington, DC 20036. FOR FURTHER INFORMATION CONTACT: The RTCA Secretariat, 1150 18th Street NW., Suite 910, Washington, DC 20036, or by telephone at (202) 833–9339, fax at (202) 833–9434, or Web site at https:// www.rtca.org. DATES: Pursuant to section 10(a)(2) of the Federal Advisory Committee Act (Pub. L. 92– 463, 5 U.S.C., App.), notice is hereby given for a meeting of Special Committee 224. The agenda will include the following: SUPPLEMENTARY INFORMATION: December 10th, 2014 • Welcome/Introductions/ Administrative Remarks • Review/Approve Previous Meeting Summary • Report from the TSA • Report on Safe Skies Document Distribution • Request to RTCA Program Management Committee for Consideration of Operational Guidance Section Status • Individual Document Section Reports • Action Items for Next Meeting • Time and Place of Next Meeting • Any Other Business • Adjourn Attendance is open to the interested public but limited to space availability. E:\FR\FM\21NON1.SGM 21NON1

Agencies

[Federal Register Volume 79, Number 225 (Friday, November 21, 2014)]
[Notices]
[Pages 69547-69548]
From the Federal Register Online via the Government Printing Office [www.gpo.gov]
[FR Doc No: 2014-27571]


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

SECURITIES AND EXCHANGE COMMISSION

[Release No. 34-73614; File No. SR-ISE-2014-43]


Self-Regulatory Organizations; International Securities Exchange, 
LLC; Notice of Designation of Longer Period for Commission Action on 
Proposed Rule Change Amending Its Information Barrier Rules

November 17, 2014.
    On September 15, 2014, International Securities Exchange, LLC (the 
``Exchange'') filed with the Securities and Exchange Commission 
(``Commission''), pursuant to Section 19(b)(1) of the Securities 
Exchange Act of 1934 (``Act'') \1\ and Rule 19b-4 thereunder,\2\ a 
proposed rule change amending its information barrier rules. The 
proposed rule change was published for comment in the Federal Register 
on October 6, 2014.\3\ The Commission received one comment letter \4\ 
on the proposed rule change and one rebuttal letter from the 
Exchange.\5\
---------------------------------------------------------------------------

    \1\ 15 U.S.C. 78s(b)(1).
    \2\ 17 CFR 240.19b-4.
    \3\ See Securities Exchange Act Release No. 73261 (October 6, 
2014), 79 FR 60226 (``Notice'').
    \4\ See Letter from John Kinahan, Chief Executive Officer, Group 
One Trading, L.P., dated October 27, 2014.
    \5\ See Letter from Michael J. Simon, Secretary and General 
Counsel, International Securities Exchange, LLC, dated November 14, 
2014.
---------------------------------------------------------------------------

    Section 19(b)(2) of the Act \6\ provides that within 45 days of the 
publication of notice of the filing of a proposed rule change, or 
within such longer period up to 90 days as the Commission may designate 
if it finds such longer period to be appropriate and publishes its 
reasons for so finding or as to which the self-regulatory organization 
consents, the Commission shall either approve the proposed rule change, 
disapprove the proposed rule change, or institute proceedings to 
determine whether these proposed rule changes should be disapproved. 
The 45th day for this filing is November 20, 2014.
---------------------------------------------------------------------------

    \6\ 15 U.S.C. 78s(b)(2).
---------------------------------------------------------------------------

    The Commission is extending the 45-day time period for Commission 
action on the proposed rule change. The Commission finds that it is 
appropriate to designate a longer period within which to take action on 
the proposed rule change so that it has sufficient time to review the 
comment letter submitted in response to the Notice, to review the 
Exchange's response to such comment letter, and to consider and take 
action on the Exchange's proposed rule change.

[[Page 69548]]

    Accordingly, pursuant to Section 19(b)(2)(A)(ii)(I) of the Act \7\ 
and for the reasons stated above, the Commission designates January 2, 
2015, as the date by which the Commission should either approve or 
disapprove, or institute proceedings to determine whether to 
disapprove, the proposed rule change (File No. SR-ISE-2014-43).
---------------------------------------------------------------------------

    \7\ 15 U.S.C. 78s(b)(2)(A)(ii)(I).

    For the Commission, by the Division of Trading and Markets, 
pursuant to delegated authority.\8\
---------------------------------------------------------------------------

    \8\ 17 CFR 200.30-3(a)(31).
---------------------------------------------------------------------------

Kevin M. O'Neill,
Deputy Secretary.
[FR Doc. 2014-27571 Filed 11-20-14; 8:45 am]
BILLING CODE 8011-01-P
This site is protected by reCAPTCHA and the Google Privacy Policy and Terms of Service apply.