Notice 17 Mar 2025 sec, trading, regulation, securities, nyse, financial, market, order-routing

📈NYSE American Proposes Rule Changes for Optional Routing Strategies

NYSE American LLC has filed a proposed rule change to amend its trading rules, allowing for an optional routing strategy for MPL-IOC Orders. This change aims to enhance trading efficiency, enable greater flexibility for electronic trading participants, and improve overall market dynamics. The SEC invites comments on this proposal, which may take effect immediately pending approval.

Learn More
Notice 17 Mar 2025 sec, securities regulation, proposed rule change, financial markets, cboe bzx, bitwise solana etf

📈SEC Notice on Proposed Bitwise Solana ETF Trading Rule

The SEC has announced a notice regarding a proposed rule change from Cboe BZX Exchange, Inc. to list and trade shares of the Bitwise Solana ETF. This notice extends the period for the Commission to take action on the proposed rule change, allowing for thorough consideration of the related issues.

Learn More
Notice 17 Mar 2025 sec, regulations, financial services, etf, cryptocurrency, cboe bzx

💰SEC Notice on Proposed Rule Change for Bitwise XRP ETF Listing

The SEC has designated a longer period to review a proposed rule change by Cboe BZX Exchange to list shares of the Bitwise XRP ETF. This extension allows the SEC ample time to consider the complexities and implications related to cryptocurrencies and investment regulations before making a final decision.

Learn More
Notice 14 Mar 2025 sec, regulation, investment, investment companies, co-investment

💼SEC Notice for Co-Investment Order Application

MA Specialty Credit Income Fund and its affiliates have applied for an SEC order to permit co-investment among closed-end management investment companies and business development companies. This notice outlines the application process and includes instructions for requesting a hearing or additional information.

Learn More
Notice 14 Mar 2025 compliance, sec, regulation, nyse, fees, delisting, business standards

📉NYSE Proposes Rule Change on Compliance and Fee Requirements

The SEC is considering a proposed rule change from the NYSE that stipulates companies must pay all outstanding fees before their compliance plans can be reviewed. Failure to comply will lead to immediate suspension and delisting procedures, emphasizing the importance of financial obligations to maintain listing standards.

Learn More
Rule 14 Mar 2025 compliance, sec, regulation, securities, administrative practice and procedure, enforcement, authority delegations (government agencies), business, investigation

⚖️SEC Amends Delegation of Authority for Investigative Orders

The Securities and Exchange Commission ("Commission") is amending its regulations with respect to the delegations of authority to the Director of the Division of Enforcement ("Director") to eliminate the delegation of authority to issue formal orders of investigation. Formal orders designate the enforcement staff authorized to issue subpoenas in connection with investigations under the Federal securities laws. This amendment is the result of the Commission's experience with its nonpublic investigations. The amendment is intended to increase effectiveness by more closely aligning the Commission's use of its investigative resources with Commission priorities.

Learn More
Notice 13 Mar 2025 compliance, sec, securities regulation, financial institutions, lssp, accenture

📄SEC Designates Accenture for Lost and Stolen Securities Program

The Securities and Exchange Commission has designated an entity to maintain and operate the Lost and Stolen Securities Program.

Learn More
Notice 13 Mar 2025 sec, regulatory compliance, information collection, securities, qualitative feedback

📄SEC Notice on Information Collection for Qualitative Feedback

The SEC is soliciting comments for an extension to collect qualitative feedback regarding its service delivery. This feedback aims to enhance customer interactions and improve program management, although it will not produce statistically generalizable data. The initiative is part of the SEC's ongoing commitment to improve stakeholder communication and operational efficiency.

Learn More
Notice 13 Mar 2025 compliance, sec, trading, regulation, securities, financial-services

📈SEC Rule 6h-1 Proposed Collection and Compliance Requirements

The Securities and Exchange Commission (SEC) is requesting comments on the proposed extension of information collection related to Rule 6h-1, which mandates compliance for trading security futures products. The rule establishes listing standards that prevent price manipulation and coordinate trading halts, impacting national exchanges and associated business operations.

Learn More
Notice 13 Mar 2025 sec, trading, finra, market regulation, alternative trading systems, match priority criteria

📈FINRA Proposes Changes to IntelligentCross ATS Match Priority Criteria

The SEC announced a partial amendment regarding FINRA's proposed rule change to include IntelligentCross ATS in the Alternative Display Facility. This amendment involves modifying the match priority criteria to enhance the accessibility and efficiency of displayed liquidity, responding to concerns raised during the public comment period. The modifications aim to clarify trading processes and enhance competitive market practices.

Learn More