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Comments on ISE Rulemaking

Order Granting Approval of Proposed Rule Change Relating to Qualified Contingent Cross Orders

(Release No. 34-60584; File No. SR-ISE-2009-35)


Feb. 7, 2011 Memorandum from the Office of the Chairman regarding a February 7, 2011, meeting with representatives of Eurex and the International Securities Exchange
Sep. 3, 2010 J. Micah Glick, Chief Compliance Officer, Cutler Group LP, San Francisco, California
Jul. 29, 2010 Memorandum from the Office of the Chairman regarding a July 27, 2010, meeting with representatives of the Chicago Board Options Exchange
May 25, 2010 Memorandum from the Office of the Chairman concerning a May 25, 2010, meeting with representatives of the International Securities Exchange
May 25, 2010 Memorandum from the Office of Commissioner Aguilar concerning a meeting with representatives of the International Securities Exchange
Nov. 25, 2009 Peter Schwarz, Integral Derivatives, LLC
Nov. 2, 2009 Memorandum from the Office of Commissioner Aguilar concerning an October 16, 2009, meeting with representatives of the International Securities Exchange
Oct. 29, 2009 Kimberly Unger, Esq., Executive Director, The Security Traders Association of New York, Inc.
Oct. 7, 2009 Anthony J. Saliba, Chief Executive Officer, LiquidPoint LLC
Oct. 5, 2009 John Gilmartin and Ben Londergan, Co-CEOs, Group One Trading LP, New York, New York
Oct. 5, 2009 Janet M. Kissane, Senior Vice President, Legal & Corporate Secretary, NYSE Euronext
Oct. 2, 2009 Memorandum from the Office of Commissioner Aguilar regarding a September 30, 2009, telephone conference with a representative of the Chicago Board Options Exchange
Oct. 2, 2009 Megan A. Flaherty, Chief Legal Counsel, Wolverine Trading, LLC
Sep. 30, 2009 Gerald D. O'Connell, Chief Compliance Officer, Susquehanna International Group
Sep. 30, 2009 Michael J. Simon, Secretary and General Counsel, International Securities Exchange, LCC
Sep. 22, 2009 Jeffrey S. Davis, Vice President & Deputy General Counsel, NASDAQ OMX PHLX

 

Notice of Filing of Proposed Rule Change Relating to Qualified Contingent Cross Orders

(Release No. 34-60147; File No. SR-ISE-2009-35)


Aug. 20, 2009 Michael J. Simon, Secretary and General Counsel, International Securities Exchange, LCC
Aug. 10, 2009 Gerald D. O'Connell, Chief Compliance Officer, Susquehanna International Group, LLP
Jul. 16, 2009 Angelo Evangelou, Assistant General Counsel, CBOE

 

http://www.sec.gov/comments/sr-ise-2009-35/ise200935.shtml

Modified: 10/16/2014