📈SEC Sunshine Act Meeting on Small Business Regulations
The SEC's Small Business Capital Formation Advisory Committee will conduct a public meeting to address key regulations impacting small and emerging businesses. Attendees can access the meeting via videoconference or webcast, where important matters concerning compliance and federal securities laws will be discussed. This meeting presents an opportunity for stakeholders to remain informed about industry regulations.
Learn More🤖SEC Roundtable on Artificial Intelligence in Financial Industry Announced
The SEC has announced a public roundtable focused on artificial intelligence in the financial industry, inviting participation from market participants, academics, and industry professionals to discuss its risks, benefits, and governance. The meeting will be held at the SEC headquarters and is open for public attendance and feedback.
Learn More📈SEC Notice on Barings LLC's Application for Share Class Exemption
The SEC issued a notice regarding an application by Barings LLC and Barings Private Credit Corporation for an exemption under the Investment Company Act. The application seeks permission for registered closed-end investment companies to issue multiple classes of shares with varying fees, enhancing flexibility in investment structures. Interested parties can request a hearing on the matter.
Learn More📈SEC Notice on Exemption for Multiple Classes of Shares in Investment Companies
The SEC has issued a notice regarding an application from Carlyle Global Credit Investment Management L.L.C. for an exemption under the Investment Company Act, permitting registered closed-end investment companies to issue multiple classes of shares with different sales loads and service fees. The notice outlines procedures for interested parties to request a hearing on this application.
Learn More📈SEC Extends Compliance Date for Investment Company Name Regulations
The Securities and Exchange Commission ("Commission") is extending the compliance dates for the amendments to the rule under the Investment Company Act of 1940 ("Investment Company Act") that addresses certain broad categories of investment company names that are likely to mislead investors about the investment company's investments and risks, as well as related enhanced prospectus disclosure requirements and Form N-PORT reporting requirements, that were adopted on September 20, 2023. The compliance date is extended from December 11, 2025 to June 11, 2026, for fund groups with net assets of $1 billion or more as of the end of their most recent fiscal year; and from June 11, 2026 to December 11, 2026, for fund groups with less than $1 billion in net assets as of the end of their most recent fiscal year. In addition, the Commission is modifying the operation of the compliance dates to allow for compliance based on the timing of certain annual disclosure and reporting obligations that are tied to the fund's fiscal year-end.
Learn More📈Proposed Rule Change on Risk Management by ICE Clear Credit
The SEC published a notice regarding ICE Clear Credit LLC's proposed rule change to enhance its Risk Parameter Setting and Review Policy and Risk Management Model Description for securities and derivatives. The revisions aim to clarify risk management methodologies and improve documentation, promoting efficiency in the clearance and settlement of financial transactions.
Learn More📄SEC Notice on Form 11-K Extension and Business Implications
The Securities and Exchange Commission has submitted a request for an extension of Form 11-K, which is required for employee stock purchase and savings plans. The form provides necessary financial information for employees, and its reporting requirements are essential for issuers under the Securities Act. The notice also outlines the burden hours and costs associated with the form submissions.
Learn More📈Proposed Rule Change for Options on Commodity-Based Trust Shares
The Securities and Exchange Commission is considering a proposed rule change from MIAX Pearl to allow the listing and trading of options on Commodity-Based Trust Shares. This amendment aims to enhance trading efficiency and competition among exchanges, benefiting market participants by enabling quicker hedging opportunities on these commodities.
Learn More📈MIAX Emerald Options Exchange Proposes New Fee Schedule Changes
The Securities and Exchange Commission publishes a notice of MIAX Emerald's proposed amendments to its Options Exchange Fee Schedule, introducing new categories for proprietary market data feeds. The proposal is designated for immediate effectiveness and solicits public comments before potential implementation.
Learn More📈New Rules for Options Trading on Investors Exchange (IEX)
This document details the proposed amendments to trading rules for options in the Investors Exchange LLC (IEX). It discusses the introduction of a fully automated trading system and various provisions aimed at improving market efficiency and reducing risks associated with stale quotes, thereby establishing a robust framework for options trading.
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