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Comments on NYSE 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-NYSE-2011-48]
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| May 10, 2012 | Janet McGinness, Executive Vice President, Corporate Secretary, General Counsel, NYSE Euronext |
| 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 Amending Exchange Rule 80B to Revise the Current Methodology for Determining When to Halt Trading in All Stocks Due to Extraordinary Market Volatility
[Release No. 34-65427; File No. SR-NYSE-2011-48]
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| 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-nyse-2011-48/nyse201148.shtml
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