|
|
Comments on ISE Rulemaking
Order Granting Approval of Proposed Rule Change Relating to Qualified Contingent Cross Orders
(Release No. 34-60584; File No. SR-ISE-2009-35)
|
Feb. 7, 2011 | Memorandum from the Office of the Chairman regarding a February 7, 2011, meeting with representatives of Eurex and the International Securities Exchange |
Sep. 3, 2010 | J. Micah Glick, Chief Compliance Officer, Cutler Group LP, San Francisco, California |
Jul. 29, 2010 | Memorandum from the Office of the Chairman regarding a July 27, 2010, meeting with representatives of the Chicago Board Options Exchange |
May 25, 2010 | Memorandum from the Office of the Chairman concerning a May 25, 2010, meeting with representatives of the International Securities Exchange |
May 25, 2010 | Memorandum from the Office of Commissioner Aguilar concerning a meeting with representatives of the International Securities Exchange |
Nov. 25, 2009 | Peter Schwarz, Integral Derivatives, LLC |
Nov. 2, 2009 | Memorandum from the Office of Commissioner Aguilar concerning an October 16, 2009, meeting with representatives of the International Securities Exchange |
Oct. 29, 2009 | Kimberly Unger, Esq., Executive Director, The Security Traders Association of New York, Inc. |
Oct. 7, 2009 | Anthony J. Saliba, Chief Executive Officer, LiquidPoint LLC |
Oct. 5, 2009 | John Gilmartin and Ben Londergan, Co-CEOs, Group One Trading LP, New York, New York |
Oct. 5, 2009 | Janet M. Kissane, Senior Vice President, Legal & Corporate Secretary, NYSE Euronext |
Oct. 2, 2009 | Memorandum from the Office of Commissioner Aguilar regarding a September 30, 2009, telephone conference with a representative of the Chicago Board Options Exchange |
Oct. 2, 2009 | Megan A. Flaherty, Chief Legal Counsel, Wolverine Trading, LLC |
Sep. 30, 2009 | Gerald D. O'Connell, Chief Compliance Officer, Susquehanna International Group |
Sep. 30, 2009 | Michael J. Simon, Secretary and General Counsel, International Securities Exchange, LCC |
Sep. 22, 2009 | Jeffrey S. Davis, Vice President & Deputy General Counsel, NASDAQ OMX PHLX |
Notice of Filing of Proposed Rule Change Relating to Qualified Contingent Cross Orders
(Release No. 34-60147; File No. SR-ISE-2009-35)
|
Aug. 20, 2009 | Michael J. Simon, Secretary and General Counsel, International Securities Exchange, LCC |
Aug. 10, 2009 | Gerald D. O'Connell, Chief Compliance Officer, Susquehanna International Group, LLP |
Jul. 16, 2009 | Angelo Evangelou, Assistant General Counsel, CBOE |
http://www.sec.gov/comments/sr-ise-2009-35/ise200935.shtml
|