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Petitions for Rulemaking Submitted to the SEC

Any person may request that the Commission issue, amend or repeal a rule of general application. Petitions must be filed with the Secretary of the Commission. Petitions may be submitted via electronic mail to Secretarys-Office@SEC.GOV (preferred method) or via physical mail at 100 F. Street NE, Washington, D.C. 20549-1090. To help us process your petition more efficiently, please use only one method.

Petitions must contain the text or substance of any proposed rule or amendment or specify the rule or portion of a rule requested to be repealed. Persons submitting petitions must also include a statement of their interest and/or reasons for requesting Commission action.

All petitions will be forwarded to the appropriate division or office of the Commission for consideration and recommendation. Following submission of the staff's recommendation to the Commission, petitioners will be notified of any action taken by the Commission.

For additional information please refer to the Commission's Rules of Practice, Rule 192 (17 CFR 201.192).

Note: Rulemaking petitions are made available to the public after processing. Do not include personal identifiable information in submissions; submit only information that you wish to make available publicly. We may redact in part or withhold entirely from publication submitted material that is obscene or subject to copyright protection.

File Number Sort ascending Date Details
4-547 Request for interpretive guidance on Climate Risk Disclosure
View Received Comments
See Also - Supplemental Petition (Jun. 12, 2008), original petition (Sep. 18, 2007), Supplemental petition dated Nov. 23, 2009
Submitted By:

Multiple petitioners

4-547 Supplemental petition: Request for interpretive guidance on Climate Risk Disclosure
View Received Comments
See Also - original petition (Sep. 18, 2007)

Note:

For attachments, see original petition (Sep. 18, 2007)

4-547 Supplemental petition: Request for interpretive guidance on Climate Risk Disclosure
View Received Comments
See Also - original petition (Sep. 18, 2007)
4-543 Request to amend Rule 35d-1 under the Investment Company Act to amend the definition of fundamental investment policy
Submitted By:

George W. Karpus, Karpus Investment Management

4-542 Request for rulemaking under the Investment Company Act of 1940 to amend Rule 19a-1 which governs how a fund calculates and discloses the sources of its distributions
Submitted By:

Mary S. Podesta, Esq., Investment Company Institute

4-541A Supplemental petition
View Received Comments

Note: For attachments, see original petition Comments received are available

4-541 Request for rulemaking under the Securities Exchange Act of 1934 to prohibit broker-dealers from requiring investors to accept mandatory arbitration clauses
View Received Comments
Submitted By:

Daniel R. Solin

4-540 Request to Amend "Pattern Day Trader" Rule
View Received Comments
Submitted By:

Michael Wilson

4-535 Request for written interpretative guidance relating to the implementation of FASB Interpretation No. 48, Accounting for Uncertainty in Income Taxes ("FIN 48") by investment companies registered under the Investment Company Act of 1940
Submitted By:

Stephen D. Fisher, Senior Vice President & Deputy General Counsel, Fidelity Management & Research Company; Eric Roiter, Senior Vice President & General Counsel, Fidelity Management & Research Company; Maria Dwyer, Chief Regulatory Officer, Massachusetts Financial Services Company; Scott Huebl, Vice President, Tax, Oppenheimerfunds, Inc.

4-531 Request for rulemaking on disclosure and transparency in client commission arrangements
Submitted By:

William T. George, Blue Sky Research Services

4-530 Request for an extension of the implementation date of SEC Regulation NMS Trading Phase, targeted for February 5, 2007
Submitted By:

Mary Yeager, Assistant Secretary, New York Stock Exchange LLC

4-528 Request for rulemaking under the Investment Company Act of 1940 to limit the application of the new disclosure requirements to registered investment company investments in "investment companies" and "private funds" as defined in former Rule 203(b)(3)-1(d) under the Investment Advisers of 1940
Submitted By:

Stephen Fisher, Senior Vice President and General Counsel and Eric Roiter, Senior Vice President and Deputy General Counsel, Fidelity Management & Research Company

4-525 Request for rulemaking under the Securities Exchange Act of 1934 to provide owners of American Depository Receipts of certain foreign issuers with the ability to exercise certain traditional shareowner rights, including the ability to vote in the election of directors, and to submit and vote on shareowner proposals
Submitted By:

Steven J. Milloy and Thomas J. Borelli, Action Fund Management, LLC

4-521 Request for rulemaking under the Securities Exchange Act of 1934 to require prompt disclosure of a Wells Notice when it is received by registrants
Submitted By:

Scott H. Schulke

4-519 Request for rulemaking under the Securities Act of 1933 to expose and prevent unlawful and deceptive activities by securities promoters and their sponsors
View Received Comments
Submitted By:

R. Cromwell Coulson, Pink Sheets LLC

4-510C Request for rulemaking under the Investment Advisers Act of 1940 to extend certain compliance dates for Rule 202(a)(11)-1 from January 31, 2006 to March 31, 2006 concerning the Commission's final rule -- Certain Broker-Dealers Deemed Not to Be Investment Advisers
View Received Comments
Submitted By:

Dale E. Brown, Financial Services Institute, Inc.

4-510B Request for rulemaking under the Investment Advisers Act of 1940 to extend certain compliance dates for Rule 202(a)(11)-1 from January 31, 2006 to March 31, 2006 concerning the Commission's final rule -- Certain Broker-Dealers Deemed Not to Be Investment Advisers
View Received Comments
Submitted By:

Carl B. Wilkerson, Esq., American Council of Life Insurers

4-510A Request for rulemaking under the Investment Advisers Act of 1940 to extend certain compliance dates for Rule 202(a)(11)-1 from January 31, 2006 to March 31, 2006 concerning the Commission's final rule -- Certain Broker-Dealers Deemed Not to Be Investment Advisers
View Received Comments
Submitted By:

Ira D. Hammerman, Esq., Securities Industry Association

4-505 Request for rulemaking to amend Rule 3a12-8 under the Securities Exchange Act of 1934 to include within its exemption the soverign debt of the Republic of Korea
Submitted By:

Philip McBride Johnson, Skadden, Arps, Slate, Meagher & Flom LLP

4-504 Request for rulemaking concerning corporate communication regarding company share buybacks
Submitted By:

James Schainuck, Jewel Investments

4-503 Request for rulemaking under the Investment Advisers Act of 1940 regarding retention and production of e-mail by investment advisers
View Received Comments
Submitted By:

Committee on Investment Management Regulation, The Association of the Bar of the City of New York

4-501 Request for rulemaking under the Securities Exchange Act of 1934 that would prevent the National Association of Securities Dealers, Inc. and the New York Stock Exchange from placing by contract any restriction on the use of either the paper copies or their database of arbitration awards and also preventing these organizations from requiring third party vendors to limit access to these awards, in their original form
View Received Comments
Submitted By:

Daniel R. Solin, Esq.

4-499 Request for rulemaking under the Securities Exchange Act of 1934 regarding the definitions of "non-professional" and "professional" used by self-regulatory organizations and national market system plans
Submitted By:

Andrew C. Wels, Securities Industry Association

4-498 Request for rulemaking concerning auditor independence
Submitted By:

Jeffry R. Haber, Iona College

4-496 Request for rulemaking under Section 11A(a)(3)(B) of the Securities Exchange Act of 1934 to amend the Options Intermarket Linkage Plan to limit trade-through protection only to automated quotes
Submitted By:

Adam Cooper, Senior Managing Director and General Counsel, Citadel Investment Group, L.L.C.

4-495 Request for rulemaking seeking repeal of rule 206(3)-1 (Exemption of investment advisers registered as broker-dealers in connection with the provision of certain investment advisory services) and that the Commission not adopt proposed rule 202(a)(11)-1 (Certain thrift institutions deemed not to be investment advisers) under the Investment Advisers Act
Submitted By:

Ron A. Rhoades, Joseph Capital Management, LLC

4-494 Request for rulemaking requiring that a rating that is an assessment of the quality of a company's reported earnings be a listing requirement for any publicly traded company
Submitted By:

Richard S. Furlin, President, Furlin Financial

4-493 Request for Rulemaking Concerning Shareholder Communications
View Received Comments
Submitted By:

Steve Odland, Chairman-Corporate Governance Task Force, Business Roundtable

4-492 Request for Rulemaking Concerning Soft Dollars and Directed Brokerage
View Received Comments
Submitted By:

Matthew Fink, President, Investment Company Institute

4-491 Request for Rulemaking to Permit Shareholder-Nominated Director Candidates to Appear in Corporate Proxy Statements and Proxy Cards
Submitted By:

Richard L. Trumka, AFL-CIO

4-490 Request for Rulemaking to Amend Rule 1-02(w) under Regulation S-X to require complete disclosure of all subsidiaries for filers of Form 10-K, regardless of the size of the subsidiary
View Received Comments
Submitted By:

Scott Schulke

4-489 Request for the Commission to Amend Rule 206(4)-1(a)(1) under the Investment Advisers Act of 1940 Concerning the Use of Testimonials by Investment Advisers Who Are Also Planners
Submitted By:

Chris Grande, Walnut Hill Advisors

4-486 Request for rulemaking to exempt the government securities of the Republic of Singapore from Rule 3a12-8 under the Securities Exchange Act of 1934 for the purpose of trading the Singapore Government Bond futures contracts
Submitted By:

Mr. Jimmy Ang, Singapore Exchange Derivatives Trading Limited

4-484 Request for Rulemaking to Require that Amended Registrant Filings Include an Explicit Summary of Specific Changes in Language or Figures
Submitted By:

Scott H. Schulke

4-483 Request for Rulemaking under Section 12(g)(5) of the Securities Exchange Act of 1934 concerning securities held in "Street Name"
View Received Comments
See Also - Supplements to petition
Submitted By:

Lawrence J. Goldstein

4-483 Request for Rulemaking under Section 12(g)(5) of the Securities Exchange Act of 1934 concerning securities held in "Street Name"
View Received Comments
Submitted By:

Stephen Nelson, The Nelson Law Firm, on behalf of Nine Institutional Investors

4-483 Additional Petition — Request for Rulemaking under Section 12(g)(5) of the Securities Exchange Act of 1934 concerning securities held in "Street Name"
View Received Comments
See Also - Supplements to additional petition
Submitted By:

Lawrence J. Goldstein

4-480 Request for Rulemaking under the Securities Exchange Act of 1934 to Adopt New Rule 11Ac1-8 to Address the Practices of Trading-Through and Locking or Crossing OTC Quotes Across Separate Market Centers
View Received Comments
Submitted By:

John M. Schaible, President, NexTrade Holdings, Inc.

4-479 Request for Rulemaking under the Securities Exchange Act of 1934 Concerning Trading of Nasdaq-Listed Securities
Submitted By:

Edward Knight, Executive Vice President, The Nasdaq Stock Market, Inc.

4-478A Amended Request for Rulemaking to Amend Rules 15c3-1 and 15c3-3 Concerning Net Capital and Collateral Treatment of Broker-Dealers' Investment in Shares of Certain Registered Investment Companies
View Received Comments
Submitted By:

Paul Schott Stevens, Jack W. Murphy and Ethan D. Corey of Dechert LLP on behalf of Federated Investors, Inc.

4-478 Request for Rulemaking to Amend Rules 15c3-1 and 15c3-3 Concerning Net Capital and Collateral Treatment of Broker-Dealers' Investment in Shares of Certain Registered Investment Companies
View Received Comments
Submitted By:

Paul Schott Stevens, Jack W. Murphy and Ethan D. Corey of Dechert LLP on behalf of Federated Investors, Inc.

4-477 Request for Rulemaking Requiring Pre-Notification and Disclosure of Certain Communications by Trial Lawyers
Submitted By:

Daniel J. Popeo, Chairman and General Counsel and Paul D. Kamenar, Senior Executive Counsel, Washington Legal Foundation

4-475 Request for Rulemaking Concerning Changes to Fundamental Investment Policies of Closed-End Funds (Section 12 - Majority of a Quorum to Approve a Change in Investment Policy)
Submitted By:

George W. Karpus, Karpus Investment Management

4-469 Request for Rulemaking to Amend Rule 19c-5 Regarding Certain Options Exchange Licensing Arrangements
View Received Comments
Submitted By:

David Krell, President and Chief Executive Officer, International Securities Exchange

4-465 Request for Rulemaking Concerning Corporate Elections
View Received Comments
Submitted By:

Deborah Pastor, Portfolio Manager, eRaider.com Inc.

4-463 Request for Rulemaking for Clarification of Material Disclosures with Respect to Financially Significant Environmental Liabilities and Compliance with Existing Material Financial Disclosures
View Received Comments
Submitted By:

Jill Ratner, President, Rose Foundation for Communities and the Environment

4-461 Request for Rulemaking to Amend Rule 14a-8(i) to Allow Shareholder Proposals To Elect Directors
View Received Comments
Submitted By:

The Committee of Concerned Shareholders and James McRitchie

4-457 Request for Rulemaking Concerning Definition of Investment Company
Submitted By:

Matthew A. Chambers and John C. Nagel, Wilmer, Cutler & Pickering, on behalf of the Biotechnology Industry Organization

4-450 Request for Interpretive Release Concerning MD&A Under Regulation S-K, Item 303
View Received Comments
Submitted By:

Arthur Andersen LLP, Deloitte and Touche LLP, Ernst & Young LLP, KPMG LLP, PricewaterhouseCoopers LLP, and the American Institute of Certified Public Accountants

4-449 Request for Rulemaking to Amend Regulation S-K, Items 401 and 404, Concerning Director Conflicts of Interest
Submitted By:

Richard Trumka, Secretary-Treasurer, American Federation of Labor and Congress of Industrial Organizations

4-448 Request for Rulemaking Concerning Definition of Independent Auditor and Limiting Services Accounting Firms May Provide to Audit Clients
Submitted By:

Richard Trumka, Secretary-Treasurer, American Federation of Labor and Congress of Industrial Organizations