Commission orders, notices, and other information in miscellaneous categories such as whistleblower award claims, fee rates, and specific requests for public comment.

Release Number Issue Date File Number Details
34-89551 2020-26 Order Determining Whistleblower Award Claim
34-89485 MEMX LLC; Notice of Filing of Proposed Minor Rule Violation Plan
Comments Due: August 24, 2020
View Received Comments
See Also - Exhibit A
Federal Register version (85 FR 48577)
33-10808 American International Group, Inc. (Order under Rule 405 of the Securities Act of 1933, Granting Waiver from Being Ineligible Issuer)
33-10807 American International Group, Inc. (Order under Rule 405 of the Securities Act of 1933, Granting Waiver from Being Ineligible Issuer)
IA-5549 Notice of Intention To Cancel Registration Pursuant to Section 203(H) of the Investment Advisers Act of 1940
Federal Register version (85 FR 46197)
33-10804, 34-89353 265-32 SEC Small Business Capital Formation Advisory Committee
View Received Comments
Federal Register version (85 FR 44947)
34-89354 2020-25 Order Determining Whistleblower Award Claim
34-89355 2020-24 Order Determining Whistleblower Award Claim
34-89311 2020-23 Order Determining Whistleblower Award Claim
IA-5534 McDaniel Investments, LLC (Order Cancelling Registration Pursuant to Section 203(h) of the Investment Advisers Act of 1940)
33-10798 Franklin Resources, Inc. (Order under Rule 405 of the Securities Act of 1933, Granting Waiver from Being Ineligible Issuer)
IC-33916 Allianz Life Insurance Co. of North America, et al. (Order Granting Hearing and Scheduling Filing of Statements)
34-89184 Order Under Section 17(h)(4) of the Securities Exchange Act of 1934 Granting Exemption from Rule 17h-1T and Rule 17h-2T for Certain Broker-Dealers Maintaining Capital, Including Subordinated Debt of Greater Than $20 Million But Less Than $50 Million
Federal Register version (85 FR 40356)
34-89170 Order Under Section 17a and Section 36 of The Securities Exchange Act of 1934 Extending Temporary Exemptions From Specified Provisions of The Exchange Act and Certain Rules Thereunder
Federal Register version (85 FR 39960)
34-89124 2020-22 Order Determining Whistleblower Award Claim
IC-33897 Order Under Section 6(c) and Section 38(a) of the Investment Company Act of 1940 Granting Exemptions from Sections 15(c) and 32(a) of the Investment Company Act and Rules 12b-1(b)(2) and 15a-4(b)(2)(ii) Thereunder
34-89102 2020-21 Order Determining Whistleblower Award Claim
34-89100 S7-14-11 Credit Risk Retention-Notification of Commencement of Review; Extension of Review Period
See Also - Proposed Rule Release Nos. 34-70277, 34-64603, Credit Risk Retention
Federal Register version (85 FR 39099)
34-89087 265-33 Asset Management Advisory Committee
View Received Comments
Federal Register version (85 FR 37705)
IA-5525 Cheswold Lane Asset Management, LLC (Order Cancelling Registration Pursuant to Section 203(h) of the Investment Advisers Act of 1940)
34-89074 Order Granting a Temporary Conditional Exemption From the Broker Registration Requirements of Section 15(a) of the Securities Exchange Act of 1934 for Certain Activities of Registered Municipal Advisors
Federal Register version (85 FR 37133)
34-89051 Order Granting Conditional Exemptive Relief, Pursuant to Section 36 of the Securities Exchange Act of 1934 ("Exchange Act") and Rule 608(e) of Regulation NMS Under the Exchange Act, From Sections 6.4(d)(ii)(A)(2) and (B) of the National Market System Plan Governing the Consolidated Audit Trail
Federal Register version (85 FR 36631)
SIPA-182 SIPC-2019-02 Securities Investor Protection Corporation; Order Approving Proposed Bylaw Change Relating to SIPC Member Assessments
Federal Register version (85 FR 35960)
SIPA-181 SIPC-2019-01 Securities Investor Protection Corporation; Order Approving Proposed Bylaw Change, as Revised by Amendment No. 1, Relating to SIPC Board Compensation
Federal Register version (85 FR 35970)

Last Reviewed or Updated: June 28, 2024