Tap any paragraph to write a margin note. Your notes collect in the Desk below the text and file under cases with @. The side-by-side margin rail opens on a larger screen.

Code · REGISTER · 2015-09-09 · SECURITIES AND EXCHANGE COMMISSION · Notices

Notices. SECURITIES AND EXCHANGE COMMISSION

903 words·~4 min read·/register/2015/09/09/2015-22605

A research copy — for the controlling text, always check the official state or federal source. Not legal advice.

BILLING CODE 7905-01-P SECURITIES AND EXCHANGE COMMISSION [Release No. 34-75813; SR-NYSEArca-2015-02] 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 No. 1 Thereto, To Amend NYSE Arca Equities Rule 8.600 To Adopt Generic Listing Standards for Managed Fund Shares September 2, 2015. On February 17, 2015, NYSE Arca, Inc.
(“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 amend NYSE Arca Equities Rule 8.600 to adopt generic listing standards for Managed Fund Shares. 3 The proposed rule change was published for comment in the **Federal Register** on March 10, 2015. 4 The Commission initially received three comment letters on the proposal. 5 On April 17, 2015, pursuant to section 19(b)(2) of the Act, 6 the Commission designated a longer period within which to either approve the proposed rule change, disapprove the proposed rule change, or institute proceedings to determine whether to disapprove the proposed rule change. 7 On June 3, 2015, the Exchange filed Amendment No. 1 to the proposed rule change.
On June 11, 2015, the Commission published a notice of filing of Amendment No. 1 to the proposed rule change and an order instituting proceedings under section 19(b)(2)(B) of the Act 8 to determine whether to approve or disapprove the proposed rule change, as modified by Amendment No. 1 thereto. 9 The Commission subsequently received one additional comment letter on the proposal. 10 1 15 U.S.C. 78s(b)(1). 2 17 CFR 240.19b-4. 3 The term “Managed Fund Share” is defined in NYSE Arca Equities Rule 8.600(c)(1). 4 *See* Securities Exchange Act Release No. 74433 (Mar. 4, 2015), 80 FR 12690. 5 *See* letter dated March 31, 2015 from Anonymous; letter dated March 31, 2015 from Dorothy Donohue, Deputy General Counsel, Securities Regulation, Investment Company Institute, to Brent J.
Fields, Secretary, Commission; and letter dated March 31, 2015 from Thomas E. Faust Jr., Chairman and Chief Executive Officer, Eaton Vance Corp., to Brent J. Fields, Secretary, Commission. All comments to the proposed rule change are available on the Commission's Web site at *http://www.sec.gov/comments/sr-nysearca-2015-02/nysearca201502.shtml.* 6 15 U.S.C. 78s(b)(2). 7 *See* Securities Exchange Act Release No. 74755, 80 FR 22762 (Apr. 23, 2014). The Commission determined that it was appropriate to designate a longer period within which to take action on the proposed rule change so that it has sufficient time to consider the proposed rule change and the comments received.
Accordingly, the Commission designated June 8, 2015 as the date by which it should approve, disapprove, or institute proceedings to determine whether to disapprove the proposed rule change. 8 15 U.S.C. 78s(b)(2)(B). 9 *See* Securities Exchange Act Release No. 75115 (Jun. 5, 2015) 80 FR 33309. Specifically, the Commission instituted proceedings to allow:
(a)Commenters to address the sufficiency of the Exchange's statements in support of the proposal, as modified by Amendment No. 1 thereto;
(b)commenters to respond to specific questions posed by the Commission relating to the proposal, as modified by Amendment No. 1 thereto; and
(c)for additional analysis of the proposed rule change's consistency with section 6(b)(5) of the Act, which requires, among other things, that the rules of a national securities exchange be “designed to prevent fraudulent and manipulative acts and practices, to promote just and equitable principles of trade,” and “to protect investors and the public interest.” *See id.* 10 *See* letter dated July 2, 2015 from E. Russell Ives, Jr., President, Ives Associates, Inc., to Brent J. Fields, Secretary, Commission. *See also* *supra* note 5. Section 19(b)(2) of the Act 11 provides that, after initiating disapproval proceedings, the Commission shall issue an order approving or disapproving the proposed rule change not later than 180 days after the date of publication of notice of the filing of the proposed rule change. The Commission may, however, extend the period for issuing an order approving or disapproving the proposed rule change by not more than 60 days if the Commission determines that a longer period is appropriate and publishes the reasons for that determination. The proposed rule change was published for notice and comment in the **Federal Register** on March 10, 2015. 12 The 180th day after publication of the notice of the filing of the proposed rule change in the **Federal Register** is September 6, 2015. The 240th day after publication of the notice of the filing of the proposed rule change in the **Federal Register** is November 5, 2015. 11 15 U.S.C. 78s(b)(2). 12 *See supra* text accompanying note 4. The Commission finds it appropriate to designate a longer period within which to issue an order approving or disapproving the proposed rule change so that it has sufficient time to consider the proposed rule change, as modified by Amendment No. 1 thereto, and the issues raised in the comment letters submitted on the proposed rule change. Accordingly, the Commission, pursuant to section 19(b)(2) of the Act, 13 designates November 5, 2015 as the date by which the Commission should either approve or disapprove the proposed rule change (SR-NYSEArca-2015-02). 13 15 U.S.C. 78s(b)(2). 14 17 CFR 200.30-3(a)(57). For the Commission, by the Division of Trading and Markets, pursuant to delegated authority. 14 Robert W. Errett, Deputy Secretary. [FR Doc. 2015-22605 Filed 9-8-15; 8:45 am]
Connectionstraces to 2
1 reference not yet in our index
  • 17 CFR 240.19
Citation graph
cites case law
Notices
SECURITIES AND EXCHANGE COMMISSION
Cite17 CFR 240.19
Cites 3Cited by 0 across 0 sources
★   the supreme law of the land   ★
Don't Tread on Me
E Pluribus Unum — out of many, one

"If you don't know your rights, you don't have any."

Marginalia · a citizen's law index
A research desk, not legal advice. Always read the cited source before relying on a summary.
Questions or an issue? support@self-law.org
disclaimerMarginalia is a research index, not a law firm. Nothing on this site is legal, tax, or financial advice and no attorney–client relationship is formed by using it. Statutes, regulations, and case law change; summaries, search results, AI output, and member posts may be incomplete, out of date, or wrong. Any interpretation drawn from material on this site should be validated by a licensed attorney in your jurisdiction before you act on it.