Document ID: SEC-2014-0259-0001
Agency: sec
Document Type: Notice
Title: Self-Regulatory Organizations; Proposed Rule Changes: Chicago Board Options Exchange, Inc.
Posted Date: 2014-02-11T05:00Z

[Federal Register Volume 79, Number 28 (Tuesday, February 11, 2014)]
[Notices]
[Pages 8211-8212]
From the Federal Register Online via the Government Printing Office [www.gpo.gov]
[FR Doc No: 2014-02877]

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SECURITIES AND EXCHANGE COMMISSION

[Release No. 34-71489; File No. SR-CBOE-2013-107]

Self-Regulatory Organizations; Chicago Board Options Exchange, 
Incorporated; Notice of Withdrawal of Proposed Rule Change To Amend Its 
Rules Regarding Option Orders That Include a Stock Component

February 5, 2014.
    On October 31, 2013, the Chicago Board Options Exchange, 
Incorporated (the ``Exchange'' or ``CBOE'') filed with the Securities 
and Exchange Commission (the ``Commission''), pursuant to Section 
19(b)(1) of the Securities Exchange Act of 1934 (the ``Act'') \1\ and 
Rule 19b 4 thereunder,\2\ a proposed rule change to amend CBOE's rules 
regarding option orders that include a stock component. The proposed 
rule change was published for comment in the Federal Register on 
November 19, 2013.\3\ The Commission received two comment letters 
regarding the proposed rule change.\4\ On December 23, 2013, the 
Commission extended the time period in which to

[[Page 8212]]

either approve the proposed rule change, disapprove the proposed rule 
change, or institute proceedings to determine whether to disapprove the 
proposed rule change, to February 17, 2014.\5\ On January 31, 2014, the 
Exchange withdrew the proposed rule change (SR-CBOE-2013-107).
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    \1\ 15 U.S.C. 78s(b)(1).
    \2\ 17 CFR 240.19b-4.
    \3\ See Securities Exchange Act Release No. 70857 (November 13, 
2013), 78 FR 69487.
    \4\ See letters to Elizabeth M. Murphy, Secretary, Commission, 
from Manisha Kimmel, Executive Director, Financial Information 
Forum, dated December 10, 2013; and Ellen Greene, Vice President, 
Securities Industry and Financial Markets Association, dated 
December 16, 2013.
    \5\ See Securities Exchange Act Release No. 71178, 78 FR 79534 
(December 30, 2013).
    \6\ 17 CFR 200.30-3(a)(31).

    For the Commission, by the Division of Trading and Markets, 
pursuant to delegated authority.\6\
Kevin M. O'Neill,
Deputy Secretary.
[FR Doc. 2014-02877 Filed 2-10-14; 8:45 am]
BILLING CODE 8011-01-P