📈Cboe BZX Proposes Increase in Monthly Fees for 10 Gb Ports
The Cboe BZX Exchange proposed a rule change to raise the monthly fee for 10 Gb physical ports. The Securities and Exchange Commission is soliciting comments on this proposal, which may impact businesses utilizing these services and their associated operational budgets.
Learn More📈Nasdaq ISE Proposes New Rules for Trading Options on ETFs
Nasdaq ISE has filed a proposed rule change to amend its criteria for underlying securities in options trading, specifically allowing the listing and trading of options on Commodity-Based Trust Shares. This adjustment aims to streamline the process, enhancing opportunities for financial investment and market participation.
Learn More💰Cboe BZX Proposes Rule Change for 21Shares Core Ethereum ETF Staking
The Securities and Exchange Commission published a notice regarding the Cboe BZX Exchange's proposed rule change to allow staking of Ethereum in the 21Shares Core Ethereum ETF. This amendment aims to enhance income generation for the Trust and aligns with modernized staking practices on the Ethereum network while ensuring compliance with relevant regulations.
Learn More💰Analysis of Cboe BZX Proposed Rule Change for Canary XRP Trust
The Cboe BZX Exchange has filed a proposed rule change to list and trade shares of the Canary XRP Trust, aiming to provide a regulated framework for investing in XRP. This notice outlines regulatory compliance, investor protection measures, and discussions around the potential for price manipulation in digital asset markets.
Learn More📈SEC Notice on Options Trading for Goldman Sachs Physical Gold ETF
The Securities and Exchange Commission (SEC) published a notice regarding a proposed rule change from the Miami International Securities Exchange to amend Exchange Rule 402. This change facilitates the listing and trading of options on the Goldman Sachs Physical Gold ETF and updates the names of certain trusts. The exchange has requested immediate effectiveness of this rule change to benefit trade efficiency.
Learn More🏦Change in Bank Control Notices and Acquisitions Overview
The Federal Reserve System announces changes regarding the acquisition of shares in banks and bank holding companies, detailing public disclosure requirements and the application process for prospective owners. It invites comments from interested individuals and outlines the criteria for approvals under the Change in Bank Control Act, ensuring transparency and accountability in financial acquisitions.
Learn More📈SEC Reviews NYSE Arca's Proposed Selective Midpoint Order Change
The Securities and Exchange Commission issued a notice regarding NYSE Arca's proposed rule change to amend its trading practices with the introduction of the Selective Midpoint Order. This change, currently under review, aims to enhance trading efficiency and market structure, and public comments are being collected for consideration.
Learn More🏡Changes to Single Family Housing Loan Program
The Rural Housing Service (RHS or Agency), a Rural Development (RD) agency of USDA, published a final rule on August 15, 2024, to amend the current regulations regarding Special Servicing Options and adjust the Mortgage Recovery Advance (MRA) process. The February 11, 2025, effective date of that final rule is being deferred to April 14, 2025.
Learn More📈SEC Notice on Exemption for Investment Companies
The SEC issued a notice regarding an application from SEG Partners Long/Short Equity Fund and Select Equity Group, L.P. for exemptions that would permit registered investment companies to issue multiple classes of shares and impose specific fees. Interested parties can request a hearing or notify the SEC of their interest in the application.
Learn More🏭Exempt Wholesale Generator Filings and Complaints Overview
The Department of Energy, through the Federal Energy Regulatory Commission, announces a series of filings related to self-certification of exempt wholesale generator status by various companies. These filings signify important developments in energy regulation, alongside complaints and compliance actions concerning rate filings, which could impact market operations and stakeholders in the energy sector.
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