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[FR Doc E8-31191] 526.
December 23, 2008.
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 December 19, 2008, The NASDAQ Stock Market LLC (``Nasdaq'') filed with the Securities and Exchange Commission (``Commission'') the proposed rule change as described in Items I and II
Published: 2009-01-02 SECURITIES AND EXCHANGE COMMISSION : Securities and Exchange Commission
[FR Doc E8-31203] 527.
December 24, 2008.
Pursuant to Section 19(b)(1) of the Securities Exchange Act of 1934 (the ``Act'') \1\ and Rule 19b4 thereunder,\2\ notice is hereby given that on December 12, 2008, The NASDAQ Stock Market LLC (``Nasdaq''), filed with the Securities and Exchange Commission (``Commission'') the proposed rule change as described in Items I, II,
Published: 2009-01-02 SECURITIES AND EXCHANGE COMMISSION : Securities and Exchange Commission
[FR Doc E8-31205] 528.
December 24, 2008.
Pursuant to Section 11A(a)(3) of the Securities Exchange Act of 1934 (``Act'') \1\ and Rule 608 thereunder,\2\ notice is hereby given that on December 22, 2008, (i) New York Stock Exchange LLC (``NYSE''), NYSE Arca, Inc. (``NYSE Arca''), and NYSE Alternext U.S. LLC (``NYSE Alternext'' and, together with NYSE and NYSE Arca,
Published: 2009-01-02 SECURITIES AND EXCHANGE COMMISSION : Securities and Exchange Commission
[FR Doc E8-31190] 529.
December 24, 2008.
I. Background
In response to the recent turmoil in the financial markets, the Securities and Exchange Commission (``Commission'') has taken multiple actions to protect investors and ensure the integrity of the nation's securities markets.\1\ Today, we are taking further action designed to address concerns related to the
Published: 2009-01-02 SECURITIES AND EXCHANGE COMMISSION : Securities and Exchange Commission
[FR Doc E8-31193] 530.
December 24, 2008.
I. Introduction
In response to the recent turmoil in the financial markets, the Securities and Exchange Commission (``Commission'') has taken multiple actions to protect investors and ensure the integrity of the nation's securities markets.\1\ Today the Commission is taking further action designed to address concerns related
Published: 2009-01-02 SECURITIES AND EXCHANGE COMMISSION : Securities and Exchange Commission
[FR Doc E8-31148] 531.
December 23, 2008.
Pursuant to Section 19(b)(1) \1\ of the Securities Exchange Act of 1934 (the ``Act'') \2\ and Rule 19b4 thereunder,\3\ notice is hereby given that, on December 18, 2008, the Chicago Board Options Exchange, Incorporated (``Exchange'' or ``CBOE'') filed with the Securities and Exchange Commission (the ``Commission'') the
Published: 2009-01-02 SECURITIES AND EXCHANGE COMMISSION : Securities and Exchange Commission
[FR Doc E8-31149] 532.
December 22, 2008.
Pursuant to Section 19(b)(1) of the Securities Exchange Act of 1934 [[Page 151]]
(``Act'') \1\ and Rule 19b4 thereunder,\2\ notice is hereby given that
on December 3, 2008, Chicago Board Options Exchange, Incorporated
(``CBOE'' or the ``Exchange'') filed with the Securities and Exchange
Commission (``Commission'') the proposed
Published: 2009-01-02 SECURITIES AND EXCHANGE COMMISSION : Securities and Exchange Commission
[FR Doc E8-31204] 533.
December 23, 2008.
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 December 11, 2008, the Financial Industry Regulatory Authority, Inc. (``FINRA'') (f/k/a National Association of Securities Dealers, Inc. (``NASD'')) filed with the Securities and
Published: 2009-01-02 SECURITIES AND EXCHANGE COMMISSION : Securities and Exchange Commission
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