Self-Regulatory Organizations; NYSE Arca, Inc.; Notice of Designation of a Longer Period for Commission Action on Proceedings To Determine Whether To Approve or Disapprove a Proposed Rule Change, as Modified by Amendment No. 1 Thereto, Relating To Listing and Trading of Shares of the SPDR SSgA Global Managed Volatility ETF Under NYSE Arca Equities Rule 8.600; Correction, 21286 [2015-08791]
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21286
Federal Register / Vol. 80, No. 74 / Friday, April 17, 2015 / Notices
For the Commission, by the Division of
Trading and Markets, pursuant to delegated
authority.1
Brent J. Fields,
Secretary.
identifying information from
submissions. You should submit only
information that you wish to make
available publicly. All submissions
should refer to File Number SR–
NYSEArca–2015–24 and should be
submitted on or before May 8, 2015.
[FR Doc. 2015–08791 Filed 4–16–15; 8:45 am]
BILLING CODE 8011–01–P
For the Commission, by the Division of
Trading and Markets, pursuant to delegated
authority.12
Brent J. Fields,
Secretary.
[FR Doc. 2015–08792 Filed 4–16–15; 8:45 am]
SECURITIES AND EXCHANGE
COMMISSION
[Release No. 34–74559A; File No. SR–
NYSEArca–2014–100]
April 13, 2015.
Self-Regulatory Organizations; NYSE
Arca, Inc.; Notice of Designation of a
Longer Period for Commission Action
on Proceedings To Determine Whether
To Approve or Disapprove a Proposed
Rule Change, as Modified by
Amendment No. 1 Thereto, Relating To
Listing and Trading of Shares of the
SPDR SSgA Global Managed Volatility
ETF Under NYSE Arca Equities Rule
8.600; Correction
April 13, 2015.
Securities and Exchange
Commission.
ACTION: Notice; correction.
AGENCY:
The Securities and Exchange
Commission published a document in
the Federal Register of March 26, 2015,
concerning a Notice of Designation of a
Longer Period for Commission Action
on Proceedings to Determine Whether
To Approve or Disapprove a Proposed
Rule Change, as Modified by
Amendment No. 1 Thereto, Relating To
Listing and Trading of Shares of the
SPDR SSgA Global Managed Volatility
ETF Under NYSE Arca Equities Rule
8.600 by NYSE Arca, Inc.; the document
contained an incorrect date.
FOR FURTHER INFORMATION CONTACT:
Leigh Duffy, Division of Trading and
Markets, Securities and Exchange
Commission, 100 F Street NE.,
Washington, DC 20549, (202) 551–5928.
SUMMARY:
tkelley on DSK3SPTVN1PROD with NOTICES
Correction
In the Federal Register of March 26,
2015, in FR Doc. 2015–06892, on page
16047, in the thirty-first line of the third
column, correct the date May 7, 2015 to
read May 22, 2015.
CFR 200.30–3(a)(12).
VerDate Sep<11>2014
19:08 Apr 16, 2015
Jkt 235001
[Release No. 34–74717; File No. SR–EDGA–
2015–17]
Self-Regulatory Organizations; EDGA
Exchange, Inc.; Notice of Filing and
Immediate Effectiveness of a Proposed
Rule Change To Amend the Content of
the BATS One Feed Under Rule 13.8(b)
To Include Consolidated Volume for All
Listed Equity Securities
BILLING CODE 8011–01–P
12 17
SECURITIES AND EXCHANGE
COMMISSION
Pursuant to Section 19(b)(1) of the
Securities Exchange Act of 1934 (the
‘‘Act’’),1 and Rule 19b–4 thereunder,2
notice is hereby given that on April 1,
2015, EDGA Exchange, Inc. (the
‘‘Exchange’’ or ‘‘EDGA’’) filed with the
Securities and Exchange Commission
(‘‘Commission’’) the proposed rule
change as described in Items I and II
below, which Items have been prepared
by the Exchange. The Exchange has
designated this proposal as a ‘‘noncontroversial’’ proposed rule change
pursuant to Section 19(b)(3)(A) of the
Act 3 and Rule 19b–4(f)(6)(iii)
thereunder,4 which renders it effective
upon filing with the Commission. 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 the Substance
of the Proposed Rule Change
The Exchange amend [sic] the content
of the BATS One Feed under Rule
13.8(b) to include consolidated volume
for all listed equity securities. The text
of the proposed rule change is available
at the Exchange’s Web site at
www.batstrading.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
1 17
CFR 200.30–3(a)(57).
U.S.C. 78s(b)(1).
2 17 CFR 240.19b–4.
3 15 U.S.C. 78s(b)(3)(A).
4 17 CFR 240.19b–4(f)(6)(iii).
1 15
PO 00000
Frm 00085
Fmt 4703
Sfmt 4703
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 parts of such
statements.
A. Self-Regulatory Organization’s
Statement of the Purpose of, and
Statutory Basis for, the Proposed Rule
Change
1. Purpose
The Exchange proposes to amend the
content of the BATS One Feed under
Rule 13.8(b) to include consolidated
volume for all listed equity securities.
The Commission recently approved a
proposed rule change by the Exchange
to establish a new market data product
called the BATS One Feed.5 The BATS
One Feed is a data feed that
disseminates, on a real-time basis, the
aggregate best bid and offer (‘‘BBO’’) of
all displayed orders for securities traded
on EDGA and its affiliated exchanges 6
and for which the BATS Exchanges
reports quotes under the Consolidated
Tape Association (‘‘CTA’’) Plan or the
Nasdaq/UTP Plan.7
The last sale information
disseminated as part of the BATS One
Feed includes the price, size, time of
execution, and individual BATS
Exchange on which the trade was
executed. The last sale information also
includes the cumulative number of
shares executed on all BATS Exchanges
5 See Securities Exchange Act Release No. 73918
(December 23, 2014), 79 FR 78920 (December 31,
2014) (File Nos. SR–EDGX–2014–25; SR–EDGA–
2014–25; SR–BATS–2014–055; SR–BYX–2014–030)
(Notice of Amendments No. 2 and Order Granting
Accelerated Approval to Proposed Rule Changes, as
Modified by Amendments Nos. 1 and 2, to Establish
a New Market Data Product called the BATS One
Feed) (‘‘BATS One Approval Order’’).
6 EDGA’s affiliated exchanges are the BATS
Exchange, Inc. (‘‘BZX’’), the BATS Y-Exchange, Inc.
(‘‘BYX’’), and the EDGX Exchange, Inc. (‘‘EDGX’’,
together with EDGA, BZX, and BYX, the ‘‘BATS
Exchanges’’). On January 31, 2014, Direct Edge
Holdings LLC (‘‘DE Holdings’’), the former parent
company of the Exchange and EDGX, completed its
business combination with BATS Global Markets,
Inc., the parent company of BATS and BYX. See
Securities Exchange Act Release No. 71449 (January
30, 2014), 79 FR 6961 (February 5, 2014) (SR–
EDGX–2013–43, SR–EDGA–2013–34). Upon
completion of the business combination, DE
Holdings and BATS Global Markets, Inc. each
became intermediate holding companies, held
under a single new holding company. The new
holding company, formerly named ‘‘BATS Global
Markets Holdings, Inc.,’’ changed its name to
‘‘BATS Global Markets, Inc.’’
7 The Exchange understands that each of the
BATS Exchanges will separately file substantially
similar proposed rule changes with the Commission
to implement fees for the BATS One Feed.
E:\FR\FM\17APN1.SGM
17APN1
Agencies
[Federal Register Volume 80, Number 74 (Friday, April 17, 2015)]
[Notices]
[Page 21286]
From the Federal Register Online via the Government Printing Office [www.gpo.gov]
[FR Doc No: 2015-08791]
-----------------------------------------------------------------------
SECURITIES AND EXCHANGE COMMISSION
[Release No. 34-74559A; File No. SR-NYSEArca-2014-100]
Self-Regulatory Organizations; NYSE Arca, Inc.; Notice of
Designation of a Longer Period for Commission Action on Proceedings To
Determine Whether To Approve or Disapprove a Proposed Rule Change, as
Modified by Amendment No. 1 Thereto, Relating To Listing and Trading of
Shares of the SPDR SSgA Global Managed Volatility ETF Under NYSE Arca
Equities Rule 8.600; Correction
April 13, 2015.
AGENCY: Securities and Exchange Commission.
ACTION: Notice; correction.
-----------------------------------------------------------------------
SUMMARY: The Securities and Exchange Commission published a document in
the Federal Register of March 26, 2015, concerning a Notice of
Designation of a Longer Period for Commission Action on Proceedings to
Determine Whether To Approve or Disapprove a Proposed Rule Change, as
Modified by Amendment No. 1 Thereto, Relating To Listing and Trading of
Shares of the SPDR SSgA Global Managed Volatility ETF Under NYSE Arca
Equities Rule 8.600 by NYSE Arca, Inc.; the document contained an
incorrect date.
FOR FURTHER INFORMATION CONTACT: Leigh Duffy, Division of Trading and
Markets, Securities and Exchange Commission, 100 F Street NE.,
Washington, DC 20549, (202) 551-5928.
Correction
In the Federal Register of March 26, 2015, in FR Doc. 2015-06892,
on page 16047, in the thirty-first line of the third column, correct
the date May 7, 2015 to read May 22, 2015.
For the Commission, by the Division of Trading and Markets,
pursuant to delegated authority.\1\
---------------------------------------------------------------------------
\1\ 17 CFR 200.30-3(a)(57).
---------------------------------------------------------------------------
Brent J. Fields,
Secretary.
[FR Doc. 2015-08791 Filed 4-16-15; 8:45 am]
BILLING CODE 8011-01-P