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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)
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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
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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
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