Investor Advisory Committee Meeting, 4000 [2015-01275]
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Federal Register / Vol. 80, No. 16 / Monday, January 26, 2015 / Notices
trust funds in the position they would
have been if railroad service had been
covered by the Social Security and FIC
Acts.
Changes proposed: The RRB proposes
to formally eliminate the paper and
magnetic tape cartridge versions of
Annual
responses
Form No.
BA–11
BA–11
BA–11
BA–11
BA–11
Form BA–11 from the information
collection.
The burden estimate for the ICR is as
follows:
Time
(minutes)
Burden
(hours)
File Transfer Protocol ......................................................................................................
CD–ROM .........................................................................................................................
Secure E-mail ..................................................................................................................
(Internet)—Positive ..........................................................................................................
(Internet)—Negative .........................................................................................................
7
5
5
137
329
300 (5 hours)
30
30
30
15
35
2
2
68
82
Total ......................................................................................................................................
483
........................
189
Additional Information or Comments:
Copies of the forms and supporting
documents can be obtained from Dana
Hickman at (312) 751–4981 or
Dana.Hickman@RRB.GOV.
Comments regarding the information
collection should be addressed to
Charles Mierzwa, Railroad Retirement
Board, 844 North Rush Street, Chicago,
Illinois, 60611–2092 or
Charles.Mierzwa@RRB.GOV and to the
OMB Desk Officer for the RRB, Fax:
202–395–6974, Email address: OIRA_
Submission@omb.eop.gov.
Charles Mierzwa,
Chief of Information Resources Management.
[FR Doc. 2015–01299 Filed 1–23–15; 8:45 am]
BILLING CODE 7905–01–P
SECURITIES AND EXCHANGE
COMMISSION
[Release Nos. 33–9707; 34–74106; File No.
265–28]
Investor Advisory Committee Meeting
Securities and Exchange
Commission.
ACTION: Notice of meeting of Securities
and Exchange Commission Dodd-Frank
Investor Advisory Committee.
AGENCY:
The Securities and Exchange
Commission Investor Advisory
Committee, established pursuant to
Section 911 of the Dodd-Frank Wall
Street Reform and Consumer Protection
Act of 2010, is providing notice that it
will hold a public meeting. The public
is invited to submit written statements
to the Committee.
DATES: The meeting will be held on
Thursday, February 12, 2015 from 10
a.m. until 4 p.m. (ET). Written
statements should be received on or
before February 12, 2015.
ADDRESSES: The meeting will be held in
Multi-Purpose Room LL–006 at the
Commission’s headquarters, 100 F
Street NE., Washington, DC 20549. The
emcdonald on DSK67QTVN1PROD with NOTICES
SUMMARY:
VerDate Sep<11>2014
18:48 Jan 23, 2015
Jkt 235001
meeting will be webcast on the
Commission’s Web site at www.sec.gov.
Written statements may be submitted by
any of the following methods:
Electronic Statements
D Use the Commission’s Internet
submission form (https://www.sec.gov/
rules/other.shtml); or
D Send an email message to rulescomments@sec.gov. Please include File
No. 265–28 on the subject line; or
Paper Statements
D Send paper statements to Brent J.
Fields, Secretary, Securities and
Exchange Commission, 100 F Street NE.,
Washington, DC 20549–1090.
All submissions should refer to File No.
265–28. This file number should be
included on the subject line if email is
used. To help us process and review
your statement more efficiently, please
use only one method.
Statements also will be available for
Web site viewing and printing in the
Commission’s Public Reference Room,
100 F Street NE., Room 1580,
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:
Marc Sharma, Senior Special Counsel,
Office of the Investor Advocate, at (202)
551–3302, Securities and Exchange
Commission, 100 F Street NE.,
Washington, DC 20549.
SUPPLEMENTARY INFORMATION: The
meeting will be open to the public,
except during portions of the meeting
reserved for meetings of the
Committee’s subcommittees. Persons
needing special accommodations to take
part because of a disability should
notify the contact person listed in FOR
FURTHER INFORMATION CONTACT.
PO 00000
Frm 00061
Fmt 4703
Sfmt 4703
The agenda for the meeting includes:
Remarks from Commissioners; a
recommendation of the Market
Structure subcommittee on shortening
the trade settlement cycle; a discussion
of proxy access; an update on the rule
proposal of the Financial Industry
Regulatory Authority (‘‘FINRA’’)
regarding implementation of the
Comprehensive Automated Risk Data
System; an update on Municipal
Securities Rulemaking Board and
FINRA proposals for improved
disclosures for same-day, retail-size
principal transactions in fixed income
securities; and nonpublic subcommittee
meetings.
Dated: January 21, 2015.
Brent J. Fields,
Secretary.
[FR Doc. 2015–01275 Filed 1–23–15; 8:45 am]
BILLING CODE 8011–01–P
SECURITIES AND EXCHANGE
COMMISSION
[Release No. 34–74098; File No. SR–NSCC–
2014–12]
Self-Regulatory Organizations;
National Securities Clearing
Corporation; Order Approving
Proposed Rule Change To Amend
NSCC’s Rules and Procedures in
Connection With the Discontinuance of
the Analytic Reporting Service
January 20, 2015.
I. Introduction
On November 25, 2014, National
Securities Clearing Corporation
(‘‘NSCC’’) filed with the Securities and
Exchange Commission (‘‘Commission’’)
proposed rule change SR–NSCC–2014–
12 (‘‘Proposed Rule Change’’) pursuant
to Section 19(b)(1) of the Securities
Exchange Act of 1934 (‘‘Act’’) 1 and Rule
19b–4 thereunder.2 The Proposed Rule
1 15
2 17
E:\FR\FM\26JAN1.SGM
U.S.C. 78s(b)(1).
CFR 240.19b–4.
26JAN1
Agencies
[Federal Register Volume 80, Number 16 (Monday, January 26, 2015)]
[Notices]
[Page 4000]
From the Federal Register Online via the Government Printing Office [www.gpo.gov]
[FR Doc No: 2015-01275]
=======================================================================
-----------------------------------------------------------------------
SECURITIES AND EXCHANGE COMMISSION
[Release Nos. 33-9707; 34-74106; File No. 265-28]
Investor Advisory Committee Meeting
AGENCY: Securities and Exchange Commission.
ACTION: Notice of meeting of Securities and Exchange Commission Dodd-
Frank Investor Advisory Committee.
-----------------------------------------------------------------------
SUMMARY: The Securities and Exchange Commission Investor Advisory
Committee, established pursuant to Section 911 of the Dodd-Frank Wall
Street Reform and Consumer Protection Act of 2010, is providing notice
that it will hold a public meeting. The public is invited to submit
written statements to the Committee.
DATES: The meeting will be held on Thursday, February 12, 2015 from 10
a.m. until 4 p.m. (ET). Written statements should be received on or
before February 12, 2015.
ADDRESSES: The meeting will be held in Multi-Purpose Room LL-006 at the
Commission's headquarters, 100 F Street NE., Washington, DC 20549. The
meeting will be webcast on the Commission's Web site at www.sec.gov.
Written statements may be submitted by any of the following methods:
Electronic Statements
[ssquf] Use the Commission's Internet submission form (https://www.sec.gov/rules/other.shtml); or
[ssquf] Send an email message to rules-comments@sec.gov. Please
include File No. 265-28 on the subject line; or
Paper Statements
[ssquf] Send paper statements to Brent J. Fields, Secretary,
Securities and Exchange Commission, 100 F Street NE., Washington, DC
20549-1090.
All submissions should refer to File No. 265-28. This file number
should be included on the subject line if email is used. To help us
process and review your statement more efficiently, please use only one
method.
Statements also will be available for Web site viewing and printing
in the Commission's Public Reference Room, 100 F Street NE., Room 1580,
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: Marc Sharma, Senior Special Counsel,
Office of the Investor Advocate, at (202) 551-3302, Securities and
Exchange Commission, 100 F Street NE., Washington, DC 20549.
SUPPLEMENTARY INFORMATION: The meeting will be open to the public,
except during portions of the meeting reserved for meetings of the
Committee's subcommittees. Persons needing special accommodations to
take part because of a disability should notify the contact person
listed in FOR FURTHER INFORMATION CONTACT.
The agenda for the meeting includes: Remarks from Commissioners; a
recommendation of the Market Structure subcommittee on shortening the
trade settlement cycle; a discussion of proxy access; an update on the
rule proposal of the Financial Industry Regulatory Authority
(``FINRA'') regarding implementation of the Comprehensive Automated
Risk Data System; an update on Municipal Securities Rulemaking Board
and FINRA proposals for improved disclosures for same-day, retail-size
principal transactions in fixed income securities; and nonpublic
subcommittee meetings.
Dated: January 21, 2015.
Brent J. Fields,
Secretary.
[FR Doc. 2015-01275 Filed 1-23-15; 8:45 am]
BILLING CODE 8011-01-P