82_FR_13746 82 FR 13698 - Self-Regulatory Organizations; Financial Industry Regulatory Authority, Inc.; Notice of Filing and Immediate Effectiveness of a Proposed Rule Change To Amend FINRA Rule 6191 To Modify the Date of Appendix B Web Site Data Publication Pursuant to the Regulation NMS Plan To Implement a Tick Size Pilot Program

82 FR 13698 - Self-Regulatory Organizations; Financial Industry Regulatory Authority, Inc.; Notice of Filing and Immediate Effectiveness of a Proposed Rule Change To Amend FINRA Rule 6191 To Modify the Date of Appendix B Web Site Data Publication Pursuant to the Regulation NMS Plan To Implement a Tick Size Pilot Program

SECURITIES AND EXCHANGE COMMISSION

Federal Register Volume 82, Issue 48 (March 14, 2017)

Page Range13698-13699
FR Document2017-04926

Federal Register, Volume 82 Issue 48 (Tuesday, March 14, 2017)
[Federal Register Volume 82, Number 48 (Tuesday, March 14, 2017)]
[Notices]
[Pages 13698-13699]
From the Federal Register Online  [www.thefederalregister.org]
[FR Doc No: 2017-04926]



[[Page 13698]]

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SECURITIES AND EXCHANGE COMMISSION

[Release No. 34-80179; File No. SR-FINRA-2017-005]


Self-Regulatory Organizations; Financial Industry Regulatory 
Authority, Inc.; Notice of Filing and Immediate Effectiveness of a 
Proposed Rule Change To Amend FINRA Rule 6191 To Modify the Date of 
Appendix B Web Site Data Publication Pursuant to the Regulation NMS 
Plan To Implement a Tick Size Pilot Program

March 8, 2017.
    Pursuant to Section 19(b)(1) of the Securities Exchange Act of 1934 
(``Act'') \1\ and Rule 19b-4 thereunder,\2\ notice is hereby given that 
on February 23, 2017, Financial Industry Regulatory Authority, Inc. 
(``FINRA'') filed with the Securities and Exchange Commission (``SEC'' 
or ``Commission'') the proposed rule change as described in Items I and 
II, which Items have been prepared by FINRA. FINRA has designated the 
proposed rule change as constituting a ``non-controversial'' rule 
change under paragraph (f)(6) of Rule 19b-4 under the Act,\3\ which 
renders the proposal effective upon receipt of this filing by the 
Commission. The Commission is publishing this notice to solicit 
comments on the proposed rule change from interested persons.
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    \1\ 15 U.S.C. 78s(b)(1).
    \2\ 17 CFR 240.19b-4.
    \3\ 17 CFR 240.19b-4(f)(6).
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I. Self-Regulatory Organization's Statement of the Terms of Substance 
of the Proposed Rule Change

    FINRA is proposing to amend Rule 6191 to modify the date of 
Appendix B Web site data publication pursuant to the Regulation NMS 
Plan to Implement a Tick Size Pilot Program (``Plan'').
    The text of the proposed rule change is available on FINRA's Web 
site at http://www.finra.org, at the principal office of FINRA and at 
the Commission's Public Reference Room.

II. Self-Regulatory Organization's Statement of the Purpose of, and 
Statutory Basis for, the Proposed Rule Change

    In its filing with the Commission, FINRA included statements 
concerning the purpose of and basis for the proposed rule change and 
discussed any comments it received on the proposed rule change. The 
text of these statements may be examined at the places specified in 
Item IV below. FINRA has prepared summaries, set forth in sections A, 
B, and C below, of the most significant aspects of such statements.

A. Self-Regulatory Organization's Statement of the Purpose of, and 
Statutory Basis for, the Proposed Rule Change

1. Purpose
    Rule 6191(b) (Compliance with Data Collection Requirements) \4\ 
implements the data collection and Web site publication requirements of 
the Plan.\5\ Rule 6191.12 provides, among other things, that the 
requirement that FINRA make certain data publicly available on the 
FINRA Web site pursuant to Appendix B and C to the Plan shall commence 
at the beginning of the Pilot Period,\6\ and that FINRA shall make data 
for the Pre-Pilot Period publicly available on the FINRA Web site 
pursuant to Appendix B and C to the Plan by February 28, 2017.\7\
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    \4\ See FINRA Rule 6191. See also Securities Exchange Act 
Release No. 76484 (November 19, 2015), 80 FR 73858 (November 25, 
2015) (Notice of Filing of File No. SR-FINRA-2015-048); and 
Securities Exchange Act Release No. 77164 (February 17, 2016), 81 FR 
9043 (February 23, 2016) (Notice of Filing of Partial Amendment No. 
1 and Order Granting Accelerated Approval of File No. SR-FINRA-2015-
048).
    \5\ The Participants filed the Plan to comply with an order 
issued by the Commission on June 24, 2014. See Letter from Brendon 
J. Weiss, Vice President, Intercontinental Exchange, Inc., to 
Secretary, Commission, dated August 25, 2014 (``SRO Tick Size Plan 
Proposal''). See Securities Exchange Act Release No 72460 (June 24, 
2014), 79 FR 36840 (June 30, 2014); see also Securities Exchange Act 
Release No. 74892 (May 6, 2015), 80 FR 27513 (May 13, 2015).
    \6\ Unless otherwise defined herein, capitalized terms have the 
meaning ascribed to them in Rule 6191.
    \7\ On November 30, 2016, the SEC granted exemptive relief to 
the Participants to, among other things, delay the publication of 
Web site data pursuant to Appendices B and C to the Plan until 
February 28, 2017, and to delay the ongoing Web site publication by 
ninety days such that data would be published within 120 calendar 
days following the end of the month. See Letter from David S. 
Shillman, Associate Director, Division of Trading and Markets, 
Commission, to Marcia E. Asquith, Senior Vice President and 
Corporate Secretary, FINRA, dated November 30, 2016; see also 
Securities Exchange Act Release No. 79424 (November 29, 2016), 81 FR 
87603 (December 5, 2016) (Notice of Filing and Immediate 
Effectiveness of File No. SR-FINRA-2016-042).
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    FINRA is proposing amendments to Rule 6191.12 to delay the date by 
which Pre-Pilot and Pilot Appendix B data is to be made publicly 
available on FINRA's Web site from February 28, 2017, until April 28, 
2017.\8\ Appendix C data for the Pre-Pilot Period through the month of 
January 2017 will be published on the FINRA Web site on February 28, 
2017, and, thereafter, on the original 30-day schedule. Thus, FINRA is 
proposing an amendment to Rule 6191(b)(4)(B) to provide that Appendix C 
data will be published on the FINRA Web site within 30 calendar days, 
rather than 120 calendar days, following month end at no charge and 
that FINRA shall not identify the Market Makers that generated the data 
or the individual securities.
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    \8\ In addition, FINRA is proposing an amendment to Rule 
6191(a)(6)(B) to clarify that no member, irrespective of whether 
that member operates a trading center, may execute orders in any 
Pilot Security in Test Group Three in price increments other than 
$0.05, unless an exception applies. This proposed amendment makes 
the rule consistent with the Plan and conforms subparagraph 
(a)(6)(B) with subparagraph (a)(5)(B).
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    In the SRO Tick Size Plan Proposal, the Participants stated that 
the public data will be made available for free ``on a disaggregated 
basis by trading center'' on the Web sites of the Participants and the 
Designated Examining Authorities.\9\ However, market participants have 
expressed confidentiality concerns regarding this approach for over-
the-counter (``OTC'') data.\10\ Thus, FINRA is filing the instant 
proposed rule change to provide additional time to assess a means of 
addressing the confidentiality concerns raised in connection with the 
publication of Appendix B data related to OTC activity in furtherance 
of the objectives of the Plan.\11\ Pursuant to this amendment, Appendix 
B data publication will be delayed until April 28, 2017. FINRA 
anticipates filing an additional proposed rule change in the near 
future to address the data confidentiality issues raised regarding 
Appendix B data publication.
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    \9\ See Securities Exchange Act Release No. 73511 (November 3, 
2014), 79 FR 66423 (November 7, 2014) (Notice of Filing of Proposed 
National Market System Plan to Implement a Tick Size Pilot Program 
on a One-Year Pilot Basis, File No. 4-657) (``Tick Size Plan 
Proposal'').
    \10\ See letters from Adam C. Cooper, Senior Managing Director 
and Chief Legal Officer, Citadel Securities, to Brent J. Fields, 
Secretary, Commission, dated December 21, 2016 (``Citadel letter''); 
and William Hebert, Managing Director, Financial Information Forum, 
to Robert W. Errett, Deputy Secretary, Commission, dated December 
21, 2016 (``FIF letter'').
    \11\ FINRA also is submitting an exemptive request to the SEC in 
connection with the instant filing.
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    FINRA has filed the proposed rule change for immediate 
effectiveness. The operative date of the proposed rule change will be 
the date of filing.
2. Statutory Basis
    FINRA believes that the proposed rule change is consistent with the 
provisions of Section 15A(b)(6) of the Act,\12\ which requires, among 
other things, that FINRA rules must be designed to prevent fraudulent 
and manipulative acts and practices, to promote just and equitable 
principles of trade, and, in general, to protect investors and the 
public interest, and Section 15A(b)(9) of

[[Page 13699]]

the Act,\13\ which requires that FINRA rules not impose any burden on 
competition that is not necessary or appropriate.
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    \12\ 15 U.S.C. 78o-3(b)(6).
    \13\ 15 U.S.C. 78o-3(b)(9).
---------------------------------------------------------------------------

    The Plan is designed to allow the Commission, market participants, 
and the public to study and assess the impact of increment conventions 
on the liquidity and trading of the common stock of small-
capitalization companies. FINRA believes that this proposal is 
consistent with the Act because it is in furtherance of the objectives 
of Section VII(A) of the Plan in that it is designed to provide FINRA 
with additional time to assess a means of addressing the 
confidentiality concerns raised in connection with the publication of 
Appendix B data, to comply with the Plan's requirements that the data 
made publicly available will not identify the trading center that 
generated the data.

B. Self-Regulatory Organization's Statement on Burden on Competition

    FINRA does not believe that the proposed rule change will result in 
any burden on competition that is not necessary or appropriate in 
furtherance of the purposes of the Act. FINRA notes that the proposed 
rule change implements the provisions of the Plan.

C. Self-Regulatory Organization's Statement on Comments on the Proposed 
Rule Change Received From Members, Participants, or Others

    Written comments were neither solicited nor received.

III. Date of Effectiveness of the Proposed Rule Change and Timing for 
Commission Action

    Because the foregoing proposed rule change does not: (i) 
Significantly affect the protection of investors or the public 
interest; (ii) impose any significant burden on competition; and (iii) 
become operative for 30 days from the date on which it was filed, or 
such shorter time as the Commission may designate, it has become 
effective pursuant to Section 19(b)(3)(A) of the Act \14\ and Rule 19b-
4(f)(6) thereunder.\15\
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    \14\ 15 U.S.C. 78s(b)(3)(A).
    \15\ 17 CFR 240.19b-4(f)(6).
---------------------------------------------------------------------------

    A proposed rule change filed under Rule 19(b)-4(f)(6) normally does 
not become operative prior to 30 days after the date of the filing. 
However, pursuant to Rule 19b-4(f)(6)(iii), the Commission may 
designate a shorter time if such action is consistent with the 
protection of investors and the public interest. FINRA has filed the 
proposed rule change for immediate effectiveness and has requested that 
the Commission waive the requirement that the proposed rule change not 
become operative for 30 days after the date of the filing so that it 
may become operative on February 28, 2017.
    FINRA notes that the proposed rule change is intended to address 
confidentiality concerns raised in connection with the publication of 
OTC Appendix B data by permitting FINRA to delay Web site publication 
of Appendix B data from February 28, 2017 to April 28, 2017.\16\ FINRA 
notes that the delay would provide it with additional time to assess 
and file a proposed rule change to address the confidentiality 
concerns.
---------------------------------------------------------------------------

    \16\ See supra note 10.
---------------------------------------------------------------------------

    The Commission believes that waiving the 30-day operative delay is 
consistent with the protection of investors and the public interest 
because it will allow FINRA to delay publication of Appendix B data 
until April 28, 2017. As noted above, commenters continue to raise 
concerns about the publication of OTC Appendix B data. The Commission 
notes that FINRA has filed a proposed rule change that is intended to 
mitigate confidentiality concerns raised by commenters regarding the 
publication of Appendix B data.\17\ Delaying publication of Appendix B 
data will provide the Commission and the public with time to consider 
this proposed rule change. Therefore, the Commission hereby waives the 
30-day operative delay and designates the proposed rule change to be 
operative on February 28, 2017.\18\
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    \17\ See SR-FINRA-2017-006.
    \18\ For purposes only of waiving the operative delay for this 
proposal, the Commission has considered the proposed rule's impact 
on efficiency, competition, and capital formation. See 15 U.S.C. 
78c(f).
---------------------------------------------------------------------------

    At any time within 60 days of the filing of the proposed rule 
change, the Commission summarily may temporarily suspend such rule 
change if it appears to the Commission that such action is necessary or 
appropriate in the public interest, for the protection of investors, or 
otherwise in furtherance of the purposes of the Act. If the Commission 
takes such action, the Commission shall institute proceedings to 
determine whether the proposed rule should be approved or disapproved.

IV. Solicitation of Comments

    Interested persons are invited to submit written data, views and 
arguments concerning the foregoing, including whether the proposed rule 
change is consistent with the Act. Comments may be submitted by any of 
the following methods:

Electronic Comments

     Use the Commission's Internet comment form (http://www.sec.gov/rules/sro.shtml); or
     Send an email to [email protected]. Please include 
File Number SR-FINRA-2017-005 on the subject line.

Paper Comments

     Send paper comments in triplicate to Robert W. Errett, 
Deputy Secretary, Securities and Exchange Commission, 100 F Street NE., 
Washington, DC 20549-1090.

All submissions should refer to File Number SR-FINRA-2017-005. This 
file number should be included on the subject line if email is used. To 
help the Commission process and review your comments more efficiently, 
please use only one method. The Commission will post all comments on 
the Commission's Internet Web site (http://www.sec.gov/rules/sro.shtml). Copies of the submission, all subsequent amendments, all 
written statements with respect to the proposed rule change that are 
filed with the Commission, and all written communications relating to 
the proposed rule change between the Commission and any person, other 
than those that may be withheld from the public in accordance with the 
provisions of 5 U.S.C. 552, will be available for Web site viewing and 
printing in the Commission's Public Reference Room, 100 F Street NE., 
Washington, DC 20549, on official business days between the hours of 10 
a.m. and 3 p.m. Copies of such filing also will be available for 
inspection and copying at the principal office of FINRA. All comments 
received will be posted without change; the Commission does not edit 
personal identifying information from submissions. You should submit 
only information that you wish to make available publicly. All 
submissions should refer to File Number SR-FINRA-2017-005 and should be 
submitted on or before April 4, 2017.

    For the Commission, by the Division of Trading and Markets, 
pursuant to delegated authority.\19\
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    \19\ 17 CFR 200.30-3(a)(12).
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Eduardo A. Aleman,
Assistant Secretary.
[FR Doc. 2017-04926 Filed 3-13-17; 8:45 am]
BILLING CODE 8011-01-P



                                                    13698                         Federal Register / Vol. 82, No. 48 / Tuesday, March 14, 2017 / Notices

                                                    SECURITIES AND EXCHANGE                                 and C below, of the most significant                   data for the Pre-Pilot Period through the
                                                    COMMISSION                                              aspects of such statements.                            month of January 2017 will be
                                                                                                                                                                   published on the FINRA Web site on
                                                                                                            A. Self-Regulatory Organization’s
                                                    [Release No. 34–80179; File No. SR–FINRA–                                                                      February 28, 2017, and, thereafter, on
                                                                                                            Statement of the Purpose of, and
                                                    2017–005]                                                                                                      the original 30-day schedule. Thus,
                                                                                                            Statutory Basis for, the Proposed Rule
                                                                                                                                                                   FINRA is proposing an amendment to
                                                    Self-Regulatory Organizations;                          Change
                                                                                                                                                                   Rule 6191(b)(4)(B) to provide that
                                                    Financial Industry Regulatory                           1. Purpose                                             Appendix C data will be published on
                                                    Authority, Inc.; Notice of Filing and                      Rule 6191(b) (Compliance with Data                  the FINRA Web site within 30 calendar
                                                    Immediate Effectiveness of a Proposed                   Collection Requirements) 4 implements                  days, rather than 120 calendar days,
                                                    Rule Change To Amend FINRA Rule                         the data collection and Web site                       following month end at no charge and
                                                    6191 To Modify the Date of Appendix                     publication requirements of the Plan.5                 that FINRA shall not identify the Market
                                                    B Web Site Data Publication Pursuant                    Rule 6191.12 provides, among other                     Makers that generated the data or the
                                                    to the Regulation NMS Plan To                           things, that the requirement that FINRA                individual securities.
                                                    Implement a Tick Size Pilot Program                     make certain data publicly available on                   In the SRO Tick Size Plan Proposal,
                                                                                                            the FINRA Web site pursuant to                         the Participants stated that the public
                                                    March 8, 2017.                                                                                                 data will be made available for free ‘‘on
                                                       Pursuant to Section 19(b)(1) of the                  Appendix B and C to the Plan shall
                                                                                                            commence at the beginning of the Pilot                 a disaggregated basis by trading center’’
                                                    Securities Exchange Act of 1934                                                                                on the Web sites of the Participants and
                                                    (‘‘Act’’) 1 and Rule 19b–4 thereunder,2                 Period,6 and that FINRA shall make data
                                                                                                            for the Pre-Pilot Period publicly                      the Designated Examining Authorities.9
                                                    notice is hereby given that on February                                                                        However, market participants have
                                                    23, 2017, Financial Industry Regulatory                 available on the FINRA Web site
                                                                                                            pursuant to Appendix B and C to the                    expressed confidentiality concerns
                                                    Authority, Inc. (‘‘FINRA’’) filed with the                                                                     regarding this approach for over-the-
                                                    Securities and Exchange Commission                      Plan by February 28, 2017.7
                                                                                                               FINRA is proposing amendments to                    counter (‘‘OTC’’) data.10 Thus, FINRA is
                                                    (‘‘SEC’’ or ‘‘Commission’’) the proposed                                                                       filing the instant proposed rule change
                                                    rule change as described in Items I and                 Rule 6191.12 to delay the date by which
                                                                                                            Pre-Pilot and Pilot Appendix B data is                 to provide additional time to assess a
                                                    II, which Items have been prepared by                                                                          means of addressing the confidentiality
                                                    FINRA. FINRA has designated the                         to be made publicly available on
                                                                                                            FINRA’s Web site from February 28,                     concerns raised in connection with the
                                                    proposed rule change as constituting a                                                                         publication of Appendix B data related
                                                    ‘‘non-controversial’’ rule change under                 2017, until April 28, 2017.8 Appendix C
                                                                                                                                                                   to OTC activity in furtherance of the
                                                    paragraph (f)(6) of Rule 19b–4 under the                   4 See FINRA Rule 6191. See also Securities          objectives of the Plan.11 Pursuant to this
                                                    Act,3 which renders the proposal                        Exchange Act Release No. 76484 (November 19,           amendment, Appendix B data
                                                    effective upon receipt of this filing by                2015), 80 FR 73858 (November 25, 2015) (Notice of      publication will be delayed until April
                                                    the Commission. The Commission is                       Filing of File No. SR–FINRA–2015–048); and             28, 2017. FINRA anticipates filing an
                                                    publishing this notice to solicit                       Securities Exchange Act Release No. 77164
                                                                                                            (February 17, 2016), 81 FR 9043 (February 23, 2016)
                                                                                                                                                                   additional proposed rule change in the
                                                    comments on the proposed rule change                    (Notice of Filing of Partial Amendment No. 1 and       near future to address the data
                                                    from interested persons.                                Order Granting Accelerated Approval of File No.        confidentiality issues raised regarding
                                                                                                            SR–FINRA–2015–048).                                    Appendix B data publication.
                                                    I. Self-Regulatory Organization’s                          5 The Participants filed the Plan to comply with
                                                                                                                                                                      FINRA has filed the proposed rule
                                                    Statement of the Terms of Substance of                  an order issued by the Commission on June 24,
                                                                                                                                                                   change for immediate effectiveness. The
                                                    the Proposed Rule Change                                2014. See Letter from Brendon J. Weiss, Vice
                                                                                                            President, Intercontinental Exchange, Inc., to         operative date of the proposed rule
                                                       FINRA is proposing to amend Rule                     Secretary, Commission, dated August 25, 2014           change will be the date of filing.
                                                    6191 to modify the date of Appendix B                   (‘‘SRO Tick Size Plan Proposal’’). See Securities
                                                                                                            Exchange Act Release No 72460 (June 24, 2014), 79      2. Statutory Basis
                                                    Web site data publication pursuant to
                                                                                                            FR 36840 (June 30, 2014); see also Securities
                                                    the Regulation NMS Plan to Implement                    Exchange Act Release No. 74892 (May 6, 2015), 80
                                                                                                                                                                      FINRA believes that the proposed rule
                                                    a Tick Size Pilot Program (‘‘Plan’’).                   FR 27513 (May 13, 2015).                               change is consistent with the provisions
                                                       The text of the proposed rule change                    6 Unless otherwise defined herein, capitalized      of Section 15A(b)(6) of the Act,12 which
                                                    is available on FINRA’s Web site at                     terms have the meaning ascribed to them in Rule        requires, among other things, that
                                                                                                            6191.                                                  FINRA rules must be designed to
                                                    http://www.finra.org, at the principal                     7 On November 30, 2016, the SEC granted
                                                    office of FINRA and at the                                                                                     prevent fraudulent and manipulative
                                                                                                            exemptive relief to the Participants to, among other
                                                    Commission’s Public Reference Room.                     things, delay the publication of Web site data         acts and practices, to promote just and
                                                                                                            pursuant to Appendices B and C to the Plan until       equitable principles of trade, and, in
                                                    II. Self-Regulatory Organization’s                      February 28, 2017, and to delay the ongoing Web        general, to protect investors and the
                                                    Statement of the Purpose of, and                        site publication by ninety days such that data         public interest, and Section 15A(b)(9) of
                                                    Statutory Basis for, the Proposed Rule                  would be published within 120 calendar days
                                                                                                            following the end of the month. See Letter from
                                                    Change                                                  David S. Shillman, Associate Director, Division of
                                                                                                                                                                      9 See Securities Exchange Act Release No. 73511

                                                                                                            Trading and Markets, Commission, to Marcia E.          (November 3, 2014), 79 FR 66423 (November 7,
                                                      In its filing with the Commission,                                                                           2014) (Notice of Filing of Proposed National Market
                                                                                                            Asquith, Senior Vice President and Corporate
                                                    FINRA included statements concerning                    Secretary, FINRA, dated November 30, 2016; see         System Plan to Implement a Tick Size Pilot Program
                                                    the purpose of and basis for the                        also Securities Exchange Act Release No. 79424         on a One-Year Pilot Basis, File No. 4–657) (‘‘Tick
                                                    proposed rule change and discussed any                  (November 29, 2016), 81 FR 87603 (December 5,          Size Plan Proposal’’).
                                                                                                                                                                      10 See letters from Adam C. Cooper, Senior
                                                                                                            2016) (Notice of Filing and Immediate Effectiveness
asabaliauskas on DSK3SPTVN1PROD with NOTICES




                                                    comments it received on the proposed
                                                                                                            of File No. SR–FINRA–2016–042).                        Managing Director and Chief Legal Officer, Citadel
                                                    rule change. The text of these statements                  8 In addition, FINRA is proposing an amendment      Securities, to Brent J. Fields, Secretary,
                                                    may be examined at the places specified                 to Rule 6191(a)(6)(B) to clarify that no member,       Commission, dated December 21, 2016 (‘‘Citadel
                                                    in Item IV below. FINRA has prepared                    irrespective of whether that member operates a         letter’’); and William Hebert, Managing Director,
                                                    summaries, set forth in sections A, B,                  trading center, may execute orders in any Pilot        Financial Information Forum, to Robert W. Errett,
                                                                                                            Security in Test Group Three in price increments       Deputy Secretary, Commission, dated December 21,
                                                                                                            other than $0.05, unless an exception applies. This    2016 (‘‘FIF letter’’).
                                                      1 15 U.S.C. 78s(b)(1).                                                                                          11 FINRA also is submitting an exemptive request
                                                                                                            proposed amendment makes the rule consistent
                                                      2 17 CFR 240.19b–4.                                                                                          to the SEC in connection with the instant filing.
                                                                                                            with the Plan and conforms subparagraph (a)(6)(B)
                                                      3 17 CFR 240.19b–4(f)(6).                             with subparagraph (a)(5)(B).                              12 15 U.S.C. 78o–3(b)(6).




                                               VerDate Sep<11>2014   17:42 Mar 13, 2017   Jkt 241001   PO 00000   Frm 00123   Fmt 4703   Sfmt 4703   E:\FR\FM\14MRN1.SGM   14MRN1


                                                                                   Federal Register / Vol. 82, No. 48 / Tuesday, March 14, 2017 / Notices                                                 13699

                                                    the Act,13 which requires that FINRA                    waive the requirement that the proposed               Electronic Comments
                                                    rules not impose any burden on                          rule change not become operative for 30
                                                    competition that is not necessary or                    days after the date of the filing so that               • Use the Commission’s Internet
                                                    appropriate.                                            it may become operative on February                   comment form (http://www.sec.gov/
                                                       The Plan is designed to allow the                    28, 2017.                                             rules/sro.shtml); or
                                                    Commission, market participants, and                       FINRA notes that the proposed rule                   • Send an email to rule-comments@
                                                    the public to study and assess the                      change is intended to address                         sec.gov. Please include File Number SR–
                                                    impact of increment conventions on the                  confidentiality concerns raised in                    FINRA–2017–005 on the subject line.
                                                    liquidity and trading of the common                     connection with the publication of OTC
                                                    stock of small-capitalization companies.                Appendix B data by permitting FINRA                   Paper Comments
                                                    FINRA believes that this proposal is                    to delay Web site publication of
                                                                                                            Appendix B data from February 28,                       • Send paper comments in triplicate
                                                    consistent with the Act because it is in
                                                    furtherance of the objectives of Section                2017 to April 28, 2017.16 FINRA notes                 to Robert W. Errett, Deputy Secretary,
                                                    VII(A) of the Plan in that it is designed               that the delay would provide it with                  Securities and Exchange Commission,
                                                    to provide FINRA with additional time                   additional time to assess and file a                  100 F Street NE., Washington, DC
                                                    to assess a means of addressing the                     proposed rule change to address the                   20549–1090.
                                                    confidentiality concerns raised in                      confidentiality concerns.                             All submissions should refer to File
                                                    connection with the publication of                         The Commission believes that
                                                                                                                                                                  Number SR–FINRA–2017–005. This file
                                                    Appendix B data, to comply with the                     waiving the 30-day operative delay is
                                                                                                            consistent with the protection of                     number should be included on the
                                                    Plan’s requirements that the data made                                                                        subject line if email is used. To help the
                                                    publicly available will not identify the                investors and the public interest
                                                                                                            because it will allow FINRA to delay                  Commission process and review your
                                                    trading center that generated the data.                                                                       comments more efficiently, please use
                                                                                                            publication of Appendix B data until
                                                    B. Self-Regulatory Organization’s                       April 28, 2017. As noted above,                       only one method. The Commission will
                                                    Statement on Burden on Competition                      commenters continue to raise concerns                 post all comments on the Commission’s
                                                      FINRA does not believe that the                       about the publication of OTC Appendix                 Internet Web site (http://www.sec.gov/
                                                    proposed rule change will result in any                 B data. The Commission notes that                     rules/sro.shtml). Copies of the
                                                    burden on competition that is not                       FINRA has filed a proposed rule change                submission, all subsequent
                                                    necessary or appropriate in furtherance                 that is intended to mitigate                          amendments, all written statements
                                                    of the purposes of the Act. FINRA notes                 confidentiality concerns raised by                    with respect to the proposed rule
                                                    that the proposed rule change                           commenters regarding the publication of               change that are filed with the
                                                    implements the provisions of the Plan.                  Appendix B data.17 Delaying                           Commission, and all written
                                                                                                            publication of Appendix B data will                   communications relating to the
                                                    C. Self-Regulatory Organization’s                       provide the Commission and the public                 proposed rule change between the
                                                    Statement on Comments on the                            with time to consider this proposed rule
                                                    Proposed Rule Change Received From                                                                            Commission and any person, other than
                                                                                                            change. Therefore, the Commission                     those that may be withheld from the
                                                    Members, Participants, or Others                        hereby waives the 30-day operative                    public in accordance with the
                                                      Written comments were neither                         delay and designates the proposed rule
                                                                                                                                                                  provisions of 5 U.S.C. 552, will be
                                                    solicited nor received.                                 change to be operative on February 28,
                                                                                                                                                                  available for Web site viewing and
                                                                                                            2017.18
                                                    III. Date of Effectiveness of the                          At any time within 60 days of the                  printing in the Commission’s Public
                                                    Proposed Rule Change and Timing for                     filing of the proposed rule change, the               Reference Room, 100 F Street NE.,
                                                    Commission Action                                       Commission summarily may                              Washington, DC 20549, on official
                                                       Because the foregoing proposed rule                  temporarily suspend such rule change if               business days between the hours of 10
                                                    change does not: (i) Significantly affect               it appears to the Commission that such                a.m. and 3 p.m. Copies of such filing
                                                    the protection of investors or the public               action is necessary or appropriate in the             also will be available for inspection and
                                                    interest; (ii) impose any significant                   public interest, for the protection of                copying at the principal office of
                                                    burden on competition; and (iii) become                 investors, or otherwise in furtherance of             FINRA. All comments received will be
                                                    operative for 30 days from the date on                  the purposes of the Act. If the                       posted without change; the Commission
                                                    which it was filed, or such shorter time                Commission takes such action, the                     does not edit personal identifying
                                                    as the Commission may designate, it has                 Commission shall institute proceedings                information from submissions. You
                                                    become effective pursuant to Section                    to determine whether the proposed rule                should submit only information that
                                                    19(b)(3)(A) of the Act 14 and Rule 19b–                 should be approved or disapproved.                    you wish to make available publicly. All
                                                    4(f)(6) thereunder.15                                   IV. Solicitation of Comments                          submissions should refer to File
                                                       A proposed rule change filed under                                                                         Number SR–FINRA–2017–005 and
                                                    Rule 19(b)–4(f)(6) normally does not                      Interested persons are invited to                   should be submitted on or before April
                                                    become operative prior to 30 days after                 submit written data, views and
                                                                                                                                                                  4, 2017.
                                                    the date of the filing. However, pursuant               arguments concerning the foregoing,
                                                    to Rule 19b–4(f)(6)(iii), the Commission                including whether the proposed rule                     For the Commission, by the Division of
                                                    may designate a shorter time if such                    change is consistent with the Act.                    Trading and Markets, pursuant to delegated
                                                                                                            Comments may be submitted by any of                   authority.19
asabaliauskas on DSK3SPTVN1PROD with NOTICES




                                                    action is consistent with the protection
                                                    of investors and the public interest.                   the following methods:                                Eduardo A. Aleman,
                                                    FINRA has filed the proposed rule                                                                             Assistant Secretary.
                                                                                                              16 See  supra note 10.
                                                    change for immediate effectiveness and                                                                        [FR Doc. 2017–04926 Filed 3–13–17; 8:45 am]
                                                                                                              17 See  SR–FINRA–2017–006.
                                                    has requested that the Commission                          18 For purposes only of waiving the operative      BILLING CODE 8011–01–P
                                                                                                            delay for this proposal, the Commission has
                                                      13 15 U.S.C. 78o–3(b)(9).                             considered the proposed rule’s impact on
                                                      14 15 U.S.C. 78s(b)(3)(A).                            efficiency, competition, and capital formation. See
                                                      15 17 CFR 240.19b–4(f)(6).                            15 U.S.C. 78c(f).                                       19 17   CFR 200.30–3(a)(12).



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Document Created: 2017-03-14 02:51:27
Document Modified: 2017-03-14 02:51:27
CategoryRegulatory Information
CollectionFederal Register
sudoc ClassAE 2.7:
GS 4.107:
AE 2.106:
PublisherOffice of the Federal Register, National Archives and Records Administration
SectionNotices
FR Citation82 FR 13698 

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