Open Meeting Agenda - Wednesday, February 26, 2025

Feb. 19, 2025

ITEM 1: Final Rule Extending Compliance Dates and Order Granting Temporary Exemptive Relief for Standards for Covered Clearing Agencies for U.S. Treasury Securities and Application of the Broker-Dealer Customer Protection Rule with Respect to U.S. Treasury Securities

Office: Division of Trading and Markets

Staff: David Saltiel, Andrea Orr, Jeffrey Mooney, and Elizabeth Fitzgerald.

The Commission will consider whether to extend the compliance dates for Rule 17ad-22(e)(18)(iv)(A) and (B) under the Securities Exchange Act of 1934 (“Exchange Act”), and whether to issue a temporary exemption for U.S. Treasury securities CCAs regarding Rule 17ad-22(e)(6)(i) under the Exchange Act (and a similar exemption under Section 19(g) of the Exchange Act), which apply to covered clearing agencies that provide central counterparty services for U.S. Treasury securities. 

For further information, please contact Elizabeth Fitzgerald in the Division of Trading and Markets at (202) 551-6036. 

Last Reviewed or Updated: Feb. 19, 2025