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Agency: Securities and Exchange Commission

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The Federal Register

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1. Concept Release on Possible Revisions to the Disclosure Requirements Relating to Oil and Gas Reserves

PROPOSED RULES: Oil and gas reserves; disclosure requirements revisions; concept release,

The Commission is publishing this Concept Release to obtain information about the extent and nature of the public's interest in revising oil and gas reserves disclosure requirements which exist in their current form in Regulation SK and Regulation SX under the Securities Act of 1933 and the Securities Exchange Act of 1934. The Commission adopted
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2. Options Price Reporting Authority; Notice of Filing and Order Approving on a Temporary Basis Not To Exceed 120 Days a

NOTICES: Consolidated Options Last Sale Reports and Quotation Information; Reporting Plan; amendments,

December 12, 2007.

I. Introduction

Pursuant to section 11A of the Securities Exchange Act of 1934 (``Act'') \1\ and Rule 608 thereunder,\2\ notice is hereby given that on October 9, 2007, the Options Price Reporting Authority (``OPRA'') submitted to the Securities and Exchange Commission (``Commission'') an amendment to the Plan for Reporting

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3. Options Price Reporting Authority; Notice of Filing and Immediate Effectiveness of Proposed Amendment To Revise OPRA's

NOTICES: Consolidated Options Last Sale Reports and Quotation Information; Reporting Plan; amendments,

December 12, 2007.

Pursuant to Section 11A of the Securities Exchange Act of 1934 (``Act'')\1\ and Rule 608 thereunder,\2\ notice is hereby given that on October 16, 2007 the Options Price Reporting Authority (``OPRA'') submitted to the Securities and Exchange Commission (``Commission'') an amendment to the Plan for Reporting of Consolidated

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4. Program for Allocation of Regulatory Responsibilities Pursuant to Rule 17d-2; Order Approving and Declaring Effective

NOTICES: American Stock Exchange LLC et al.,

December 11, 2007

On October 30, 2007, the American Stock Exchange LLC (``Amex''), the Boston Stock Exchange, Inc. (``BSE''), the Chicago Board Options Exchange, Incorporated (``CBOE''), the International Securities Exchange, LLC (``ISE''), Financial Industry Regulatory Authority, Inc. (``FINRA''), NYSE Arca, Inc. (``NYSE Arca''), and the

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5. In the Matter of: Avitech Life Sciences, Inc.; Order of Suspension of Trading

NOTICES: Suspension of trading—; Avitech LifeSciences, Inc.,

December 14, 2007.

It appears to the Securities and Exchange Commission that the market for the securities of Avitech LifeSciences, Inc. (``Avitech,'' trading symbol AVLF), may be reacting to manipulative forces or deceptive practices and that there is insufficient current public information about the issuer upon which an informed investment

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6. In the Matter of: Green Machine Development Corp.; Order of Suspension of Trading

NOTICES: Green Machine Development Corp.,

December 14, 2007.

It appears to the Securities and Exchange Commission that the market for the securities of Green Machine Development Corp. (``Green Machine,'' trading symbol GMVP), may be reacting to manipulative forces or deceptive practices and that there is insufficient current public information about the issuer upon which an informed

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7. In the Matter of: Xiiva Holdings Inc.; Order of Suspension of Trading

NOTICES: Xiiva Holdings, Inc.,

December 14, 2007.

It appears to the Securities and Exchange Commission that the market for the securities of Xiiva Holdings, Inc. (``Xiiva,'' trading symbol XIVAF), may be reacting to manipulative forces or deceptive practices and that there is insufficient current public information about the issuer upon which an informed investment decision

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8. Self-Regulatory Organizations; Chicago Board Options Exchange, Incorporated; Notice of Filing and Immediate

NOTICES: Chicago Board Options Exchange, Inc.,

December 12, 2007.

Pursuant to Section 19(b)(1) of the Securities Exchange Act of 1934 (``Act''),\1\ and Rule 19b4 thereunder,\2\ notice is hereby given that on November 29, 2007, the Chicago Board Options Exchange, Incorporated (``Exchange'' or ``CBOE'') filed with the Securities and Exchange Commission (``Commission'') the proposed rule

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9. Self-Regulatory Organizations; The NASDAQ Stock Market LLC; Notice of Filing and Immediate Effectiveness of Proposed

NOTICES: NASDAQ Stock Market LLC,

December 11, 2007.

Pursuant to Section 19(b)(1) of the Securities Exchange Act of 1934 (``Act''),\1\ and Rule 19b4 thereunder, \2\ notice is hereby given that on November 30, 2007, The NASDAQ Stock Market LLC (``Nasdaq'') filed with the Securities and Exchange Commission (``Commission'') the proposed rule change as described in Items I, II, and

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10. Self-Regulatory Organizations; Philadelphia Stock Exchange, Inc.; Order Granting Approval of a Proposed Rule Change

NOTICES: Philadelphia Stock Exchange, Inc.,

December 10, 2007.

I. Introduction

On August 16, 2007, the Philadelphia Stock Exchange, Inc. (``Phlx'') filed with the Securities and Exchange Commission (``Commission'') proposed rule change SRPhlx200763 pursuant to Section 19(b)(1) of the Securities Exchange Act of 1934 (``Act'').\1\ On September 20, 2007, Phlx amended the proposed rule

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