Securities and Exchange Commission January 2014 – Federal Register Recent Federal Regulation Documents

Results 101 - 150 of 180
Prospect Capital Corporation, et al.; Notice of Application
Document Number: 2014-00822
Type: Notice
Date: 2014-01-17
Agency: Securities and Exchange Commission, Agencies and Commissions
Summary of Application: Applicants request an order to permit a business development company (``BDC'') and certain closed-end management investment companies to co-invest in portfolio companies with each other and with affiliated investment funds.
Notice of Meeting of Securities and Exchange Commission Dodd-Frank Investor Advisory Committee
Document Number: 2014-00795
Type: Notice
Date: 2014-01-17
Agency: Securities and Exchange Commission, Agencies and Commissions
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 on Friday, January 31, 2014, in Multi-Purpose Room LL-006 at the Commission's headquarters, 100 F Street NE., Washington, DC 20549. The meeting will begin at 10:00 a.m. (EDT) and end at 4:30 p.m. and will be open to the public, except during portions of the meeting reserved for meetings of the Committee's subcommittees. The meeting will be webcast on the Commission's Web site at www.sec.gov. Persons needing special accommodations to take part because of a disability should notify the contact person listed below. The public is invited to submit written statements to the Committee. The agenda for the meeting includes: Remarks from Commissioners; a recommendation from the Market Structure Subcommittee and the Investor as Purchaser Subcommittee regarding decimalization; discussion of crowdfunding; discussion of rebates and payments for order flow; and nonpublic subcommittee meetings.
Registration of Municipal Advisors; Temporary Stay of Final Rule
Document Number: 2014-00740
Type: Rule
Date: 2014-01-16
Agency: Securities and Exchange Commission, Agencies and Commissions
The Securities and Exchange Commission (``Commission'') is staying temporarily Rules 15Ba1-1 through 15Ba1-8 and Rule 15Bc4-1 (``Rules'') under the Securities Exchange Act of 1934 and Forms MA, MA- I, MA-W, and MA-NR (``Forms'') until July 1, 2014 and making conforming, non-substantive amendments to Rule 15Ba1-8 regarding recordkeeping requirements to conform the dates referenced in certain provisions of that rule to the July 1, 2014 date (the ``Amendment''). The effective date for the Rules and Forms was January 13, 2014. This stay of the Rules and Forms means that persons are not required to comply with the Rules and Forms until July 1, 2014. The Amendment is the only action the Commission is taking in this release with respect to the Rules and Forms. Therefore, the phased-in compliance period that begins on July 1, 2014, for the requirement to use the Forms to register as municipal advisors under the Rules remains unchanged.
Rules of the Securities Investor Protection Corporation
Document Number: 2014-00556
Type: Rule
Date: 2014-01-16
Agency: Securities and Exchange Commission, Agencies and Commissions
The Securities and Exchange Commission (``Commission'') is approving a proposed rule change filed by the Securities Investor Protection Corporation (``SIPC''). The proposed rule change amends SIPC Rule 400 (``Rule 400''), entitled ``Rules Relating to Satisfaction of Customer Claims for Standardized Options,'' which relates to the satisfaction of customer claims for standardized options under the Securities Investor Protection Act of 1970 (``SIPA''). Because SIPC rules have the force and effect as if promulgated by the Commission, the rules are published in Title 17 of the Code of Federal Regulations, where the rule change will be reflected.
Self-Regulatory Organizations; NYSE Arca, Inc.; Notice of Filing of Proposed Rule Change Relating To Listing and Trading of Shares of the ETSpreads HY Long Credit Fund, the ETSpreads HY Short Credit Fund, the ETSpreads IG Long Credit Fund and the ETSpreads IG Short Credit Fund Under NYSE Arca Equities Rule 8.600
Document Number: 2014-00605
Type: Notice
Date: 2014-01-15
Agency: Securities and Exchange Commission, Agencies and Commissions
Market Risk Transaction ActivityISDA Research Notes, October 2013 (available at https://www2.isda.org/attachment/ NTk0MQ/CDS%20Research%20Note%20final%202013-10-01.pdf). \20\ Id.
Sunshine Act Meeting
Document Number: 2014-00558
Type: Notice
Date: 2014-01-14
Agency: Securities and Exchange Commission, Agencies and Commissions
Submission for OMB Review; Comment Request
Document Number: 2014-00467
Type: Notice
Date: 2014-01-14
Agency: Securities and Exchange Commission, Agencies and Commissions
Responsibilities of the General Counsel
Document Number: 2014-00219
Type: Rule
Date: 2014-01-10
Agency: Securities and Exchange Commission, Agencies and Commissions
The Securities and Exchange Commission (``Commission'') is amending its rules to reflect that the Commission's General Counsel is responsible for providing advice to Commission attorneys on professional responsibility issues relating to their official duties and investigating allegations of professional misconduct by Commission staff and, where appropriate, making referrals to state professional boards or societies.
Proposed Collection; Comment Request
Document Number: 2014-00213
Type: Notice
Date: 2014-01-10
Agency: Securities and Exchange Commission, Agencies and Commissions
Proposed Collection; Comment Request
Document Number: 2014-00212
Type: Notice
Date: 2014-01-10
Agency: Securities and Exchange Commission, Agencies and Commissions
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