Investor Advisory Committee Meeting, 15260 [2015-06533]
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Federal Register / Vol. 80, No. 55 / Monday, March 23, 2015 / Notices
FOR FURTHER INFORMATION CONTACT:
Sharon Bradford Franklin, Executive
Director, 202–331–1986.
SUPPLEMENTARY INFORMATION: The
PCLOB seeks public input to inform the
Board’s examination of activities
conducted under Executive Order (E.O.)
12333—United States Intelligence
Activities. Although the Board
recognizes that much information about
activities under E.O. 12333 is classified
and/or not publicly available, the Board
seeks comments regarding any concerns
about counterterrorism activities
conducted under E.O. 12333 based on
the information that is currently
unclassified and publicly available, as
well as suggestions for questions the
PCLOB should ask as part of its inquiry.
Dated: March 16, 2015.
Lynn Parker Dupree,
Acting General Counsel, Privacy and Civil
Liberties Oversight Board.
[FR Doc. 2015–06537 Filed 3–20–15; 8:45 am]
BILLING CODE 6820–B3–P
SECURITIES AND EXCHANGE
COMMISSION
[Release Nos. 33–9739; 34–74523; 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, April 9, 2015 from 9:30 a.m.
until 4:00 p.m. (ET). Written statements
should be received on or before April 9,
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:
mstockstill on DSK4VPTVN1PROD with NOTICES
SUMMARY:
D Send an email message to rulescomments@sec.gov. Please include File
No. 265–28 on the subject line; or
SECURITIES AND EXCHANGE
COMMISSION
Paper Statements
[Release No. 34–74518; File No. SR–
NASDAQ–2015–022]
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
10:00 a.m. and 3:00 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;
nomination of candidates for officer
positions and election of officers; a
discussion of the Commodity Futures
Trading Commission’s investor behavior
survey results; a discussion of
background checks as a means to
address elder financial abuse (which
may include a recommendation); a
discussion of proxy access and staff
review of Rule 14a–8(i)(9) under the
Securities Exchange Act of 1934 (which
may include a recommendation); an
update on the SEC proxy voting
roundtable; an update on the
recommendations of the SEC Advisory
Committee on Small and Emerging
Companies; and nonpublic
subcommittee meetings.
Self-Regulatory Organizations; The
NASDAQ Stock Market LLC; Notice of
Filing and Immediate Effectiveness of
Proposed Rule Change to Rule
4751(h)(5) Relating to Market Hours
IOC Orders
March 17, 2015.
Pursuant to Section 19(b)(1) of the
Securities Exchange Act of 1934
(‘‘Act’’),1 and Rule 19b–4 thereunder,2
notice is hereby given that on March 6,
2015, The NASDAQ Stock Market LLC
(‘‘NASDAQ’’ or ‘‘Exchange’’) 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
have been prepared by the Exchange.
The Commission is publishing this
notice to solicit comments on the
proposed rule change from interested
persons.
I. Self-Regulatory Organization’s
Statement of the Terms of Substance of
the Proposed Rule Change
The Exchange proposes to simplify
processing of Market Hours IOC orders
and to make clarifying changes to the
rule text of Rule 4751(h)(5).
The text of the proposed rule change
is available on the Exchange’s Web site
at https://nasdaq.cchwallstreet.com, at
the principal office of the Exchange, and
at the Commission’s Public Reference
Room.
II. Self-Regulatory Organization’s
Statement of the Purpose of, and
Statutory Basis for, the Proposed Rule
Change
In its filing with the Commission, the
Exchange included statements
concerning the purpose of and basis for
the proposed rule change and discussed
any comments it received on the
proposed rule change. The text of these
statements may be examined at the
places specified in Item IV below. The
Exchange has prepared summaries, set
forth in sections A, B, and C below, of
the most significant aspects of such
statements.
Electronic Statements
D Use the Commission’s Internet
submission form (https://www.sec.gov/
rules/other.shtml); or
Dated: March 18, 2015.
Jill M. Peterson,
Assistant Secretary.
[FR Doc. 2015–06533 Filed 3–20–15; 8:45 am]
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Agencies
[Federal Register Volume 80, Number 55 (Monday, March 23, 2015)]
[Notices]
[Page 15260]
From the Federal Register Online via the Government Printing Office [www.gpo.gov]
[FR Doc No: 2015-06533]
=======================================================================
-----------------------------------------------------------------------
SECURITIES AND EXCHANGE COMMISSION
[Release Nos. 33-9739; 34-74523; 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, April 9, 2015 from 9:30
a.m. until 4:00 p.m. (ET). Written statements should be received on or
before April 9, 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
10:00 a.m. and 3:00 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;
nomination of candidates for officer positions and election of
officers; a discussion of the Commodity Futures Trading Commission's
investor behavior survey results; a discussion of background checks as
a means to address elder financial abuse (which may include a
recommendation); a discussion of proxy access and staff review of Rule
14a-8(i)(9) under the Securities Exchange Act of 1934 (which may
include a recommendation); an update on the SEC proxy voting
roundtable; an update on the recommendations of the SEC Advisory
Committee on Small and Emerging Companies; and nonpublic subcommittee
meetings.
Dated: March 18, 2015.
Jill M. Peterson,
Assistant Secretary.
[FR Doc. 2015-06533 Filed 3-20-15; 8:45 am]
BILLING CODE 8011-01-P