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Comments on CBOE Rulemaking

Notice of Filing of a Proposed Rule Change Relating to CBSX Trading Permit Holder Eligibility

(Release No. 34-70806; File No. SR-CBOE-2013-100)


Submitted Comments

Dec. 20, 2013 Corinne Klott, Attorney, Chicago Board Options Exchange, Incorporated, Chicago, Illinois
Dec. 3, 2013 James Ongena, General Counsel, Chicago Stock Exchange, Chicago, Illinois
Dec. 3, 2013 Mary Ann Burns, Chief Operating Officer, FIA Principal Traders Group, Washington, District of Columbia
Nov. 18, 2013 Martin H. Kaplan, Gusrae Kaplan Nusbaum PLLC
Nov. 8, 2013 Chris Concannon, Virtu Financial BD, LLC, New York, New York

Meetings with SEC Officials

Jan. 22, 2014 Memorandum from the Division of Trading and Markets regarding a January 22, 2014, meeting with representatives of the Futures Industry Association (FIA)

 

http://www.sec.gov/comments/sr-cboe-2013-100/cboe2013100.shtml

Modified: 01/24/2014