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Comments on EDGA Exchange Rulemaking

Order Instituting Proceedings to Determine Whether to Disapprove Proposed Rule Changes Relating to Trading Halts Due to Extraordinary Market Volatility

[Release No. 34-66065; File No. SR-EDGA-2011-31]


Feb. 7, 2012 Ann L. Vlcek, Managing Director and Associate General Counsel, Securities Industry and Financial Markets Association
Jan. 25, 2012 Craig S. Donohue, Chief Executive Officer, CME Group Inc.
Jan. 20, 2012 Timothy Quast, Managing Director, ModernIR
 

Notice of Filing of Proposed Rule Change by EDGA Exchange, Inc. to Amend EDGA Rule 11.14 to Revise the Current Methodology for Determining When to Halt Trading in All Stocks Due to Extraordinary Market Volatility

[Release No. 34-65431; File No. SR-EDGA-2011-31]


Oct. 27, 2011 Ann L. Vlcek, Managing Director and Associate General Counsel, Securities Industry and Financial Markets Association
Oct. 25, 2011 Richard H. Baker, President and CEO, Managed Funds Association
Oct. 25, 2011 James J. Angel, Ph.D., CFA, Associate Professor of Finance, Georgetown University, Washington, D.C.
Oct. 25, 2011 Craig S. Donohue, Chief Executive Officer, CME Group Inc.

 

http://www.sec.gov/comments/sr-edga-2011-31/edga201131.shtml

Modified: 03/02/2012