Sunshine Act Meeting Notice, 11951 [2017-03905]
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Federal Register / Vol. 82, No. 37 / Monday, February 27, 2017 / Notices
Conduct of the Meeting
Philip O. Alderson, M.D., will chair
the meeting. Dr. Alderson will conduct
the meeting in a manner that will
facilitate the orderly conduct of
business. The following procedures
apply to public participation in the
meeting:
1. Persons who wish to provide a
written statement should submit an
electronic copy to Ms. Smethers using
the contact information listed above. All
submittals must be received by April 21,
2017, and must pertain to the topic on
the agenda for the meeting.
2. Questions and comments from
members of the public will be permitted
during the meeting, at the discretion of
the Chairman.
3. The draft transcript and meeting
summary will be available on ACMUI’s
Web site https://www.nrc.gov/readingrm/doc-collections/acmui/meetings/
2017.html on or about June 14, 2017.
4. Persons who require special
services, such as those for the hearing
impaired, should notify Ms. Smethers of
their planned attendance.
This meeting will be held in
accordance with the Atomic Energy Act
of 1954, as amended (primarily Section
161a); the Federal Advisory Committee
Act (5 U.S.C. App); and the
Commission’s regulations in 10 CFR
part 7.
Dated at Rockville, Maryland, this 21st day
of February, 2017.
For the Nuclear Regulatory Commission.
Andrew L. Bates,
Advisory Committee Management Officer.
[FR Doc. 2017–03733 Filed 2–24–17; 8:45 am]
BILLING CODE 7590–01–P
OVERSEAS PRIVATE INVESTMENT
CORPORATION
Sunshine Act Meeting Notice
Thursday, December 8,
2016, 2 p.m. (OPEN Portion), 2:15 p.m.
(CLOSED Portion).
PLACE: Offices of the Corporation,
Twelfth Floor Board Room, 1100 New
York Avenue NW., Washington, DC.
STATUS: Meeting OPEN to the Public
from 2 p.m. to 2:15 p.m. Closed portion
will commence at 2:15 p.m. (approx.).
mstockstill on DSK3G9T082PROD with NOTICES
TIME AND DATE:
Matters to be Considered
1. President’s Report
2. Minutes of the Open Session of the
September 15, 2016 Board of Directors
Meeting
Further Matters to be Considered
(Closed to the Public 2:15 P.M.)
1. Insurance Project—Jordan
VerDate Sep<11>2014
20:23 Feb 24, 2017
Jkt 241001
2. Insurance Project—Israel
3. Finance Project—Africa, South Asia
4. Finance Project—Africa
5. Minutes of the Closed Session of the
September 15, 2016 Board of Directors
Meeting
6. Reports
7. Pending Projects
CONTACT PERSON FOR MORE INFORMATION:
Information on the meeting may be
obtained from Catherine F.I. Andrade at
(202) 336–8768, or via email at
Catherine.Andrade@opic.gov.
Dated: November 9, 2016.
Catherine F.I. Andrade,
Corporate Secretary, Overseas Private
Investment Corporation.
[FR Doc. 2017–03905 Filed 2–23–17; 4:15 pm]
BILLING CODE 3210–01–P
SECURITIES AND EXCHANGE
COMMISSION
[Release No. 34–80076; File No. SR–
NYSEArca–2016–89]
Self-Regulatory Organizations; NYSE
Arca, Inc; Notice of Designation of
Longer Period for Commission Action
on Proceedings To Determine Whether
To Approve or Disapprove a Proposed
Rule Change, as Modified by
Amendment Nos. 1–4, To Amend the
Co-location Services Offered by the
Exchange To Add Certain Access and
Connectivity Fees
February 22, 2017.
On August 16, 2016, NYSE Arca, Inc.
(‘‘NYSE Arca’’ or 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 to (1) provide additional
information regarding access to various
NYSE trading and execution services
and establish fees for connectivity to
certain NYSE market data feeds; and (2)
provide and establish fees for
connectivity to data feeds from third
party markets and other content service
providers; access to the trading and
execution services of Third Party
markets and other content service
providers; connectivity to Depository
Trust & Clearing Corporation services;
connectivity to third party testing and
certification feeds; and the use of virtual
control circuits by Users in the Data
Center.
The Commission published the
proposed rule change for comment in
the Federal Register on August 26,
1 15
2 17
PO 00000
U.S.C. 78s(b)(1).
CFR 240.19b–4.
Frm 00061
Fmt 4703
Sfmt 4703
11951
2016.3 The Commission received no
comments in response to the proposed
rule change.4 On October 4, 2016, the
Commission extended the time period
within which to approve the proposed
rule change, disapprove the proposed
rule change, or institute proceedings to
determine whether to approve or
disapprove the proposed rule change to
November 24, 2016.5
On November 2, 2016, the Exchange
filed Amendment No. 1 to the proposed
rule change.6 On November 29, 2016,
the Commission instituted proceedings
to determine whether to approve or
disapprove the proposed rule change, as
modified by Amendment No. 1.7
Following the Order Instituting
Proceedings, the Commission received
several additional comment letters
regarding the proposed rule change.8 On
December 9, 2016, the Exchange filed
Amendment No. 2 to the proposed rule
change and on December 13, 2016 also
3 See Securities Exchange Act Release No. 34–
78628 (August 22, 2016), 81 FR 59004 (‘‘Notice’’).
4 The Commission notes that it did receive one
comment letter on a related filing, NYSE–2016–45
(the ‘‘NYSE Companion Filing’’),which is equally
relevant to this filing. See letter to Brent J. Fields,
Secretary, Commission, from John Ramsay, Chief
Market Policy Officer, Investors Exchange LLC
(IEX), dated September 9, 2016 (‘‘IEX Letter’’).
On September 23, 2016, the NYSE submitted a
response (‘‘Response Letter I’’).
5 See Securities Exchange Act Release No. 34–
78967 (September 28, 2016), 81 FR 68480.
6 Amendment No. 1 is available on the
Commission’s Web site at https://www.sec.gov/
comments/sr-nysearca-2016-89/nysearca2016891.pdf.
7 See Securities Exchange Act Release 34-79379
(November 22, 2016), 81 FR 86036.
8 See letter to Brent J. Fields, Commission, from
Melissa MacGregor, Managing Director and
Associate General Counsel, SIFMA, dated December
12, 2016 (‘‘SIFMA Letter I’’); letter to Brent J. Fields,
Commission, from Joe Wald, Chief Executive
Officer, Clearpool Group, dated December 16, 2016
(‘‘Clearpool Letter’’); letter to Brent J. Fields,
Secretary, Commission, from John Ramsay, Chief
Market Policy Officer, Investors Exchange LLC
(IEX), dated December 21, 2016 (‘‘IEX Letter II’’);
letter to Brent J. Fields, Commission, from Melissa
MacGregor, Managing Director and Associate
General Counsel, SIFMA, dated February 6, 2017
(‘‘SIFMA Letter II’’). All comments received by the
Commission on the proposed rule change are
available on the Commission’s Web site at: https://
www.sec.gov/comments/sr-nysearca-2016-89/
nysearca201689.shtml.
The Commission notes that it did receive
additional comment letters on the NYSE
Companion Filing which are equally relevant to this
filing. See letter to Brent J. Fields, Commission,
from Adam C. Cooper, Senior Managing Director
and Chief Legal Officer, Citadel Securities, dated
December 12, 2016 (‘‘Citadel Letter’’); letter to Brent
J. Fields, Commission, from David L. Cavicke, Chief
Legal Officer, Wolverine LLC (‘‘Wolverine Letter’’);
letter to Bent J. Fields, Secretary, Commission, from
Stefano Durdic, Managing Director, R2G Services,
LLC, dated January 21, 2017 (‘‘R2G Letter’’). All
comments received by the Commission on the
NYSE Companion Filing are available on the
Commission’s Web site at: https://www.sec.gov/
comments/sr-nyse-2016-45/nyse201645.shtml.
E:\FR\FM\27FEN1.SGM
27FEN1
Agencies
[Federal Register Volume 82, Number 37 (Monday, February 27, 2017)]
[Notices]
[Page 11951]
From the Federal Register Online via the Government Publishing Office [www.gpo.gov]
[FR Doc No: 2017-03905]
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OVERSEAS PRIVATE INVESTMENT CORPORATION
Sunshine Act Meeting Notice
TIME AND DATE: Thursday, December 8, 2016, 2 p.m. (OPEN Portion), 2:15
p.m. (CLOSED Portion).
PLACE: Offices of the Corporation, Twelfth Floor Board Room, 1100 New
York Avenue NW., Washington, DC.
STATUS: Meeting OPEN to the Public from 2 p.m. to 2:15 p.m. Closed
portion will commence at 2:15 p.m. (approx.).
Matters to be Considered
1. President's Report
2. Minutes of the Open Session of the September 15, 2016 Board of
Directors Meeting
Further Matters to be Considered (Closed to the Public 2:15 P.M.)
1. Insurance Project--Jordan
2. Insurance Project--Israel
3. Finance Project--Africa, South Asia
4. Finance Project--Africa
5. Minutes of the Closed Session of the September 15, 2016 Board of
Directors Meeting
6. Reports
7. Pending Projects
CONTACT PERSON FOR MORE INFORMATION: Information on the meeting may be
obtained from Catherine F.I. Andrade at (202) 336-8768, or via email at
Catherine.Andrade@opic.gov.
Dated: November 9, 2016.
Catherine F.I. Andrade,
Corporate Secretary, Overseas Private Investment Corporation.
[FR Doc. 2017-03905 Filed 2-23-17; 4:15 pm]
BILLING CODE 3210-01-P