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Self-Regulatory Organizations; International Securities Exchange, LLC; Notice of Withdrawal of Proposed Rule Change To List and Trade Option Contracts Overlying 10 Shares of a Security

---
identifier: "/us/fr/2012-15637"
source: "fr"
legal_status: "authoritative_unofficial"
title: "Self-Regulatory Organizations; International Securities Exchange, LLC; Notice of Withdrawal of Proposed Rule Change To List and Trade Option Contracts Overlying 10 Shares of a Security"
title_number: 0
title_name: "Federal Register"
section_number: "2012-15637"
section_name: "Self-Regulatory Organizations; International Securities Exchange, LLC; Notice of Withdrawal of Proposed Rule Change To List and Trade Option Contracts Overlying 10 Shares of a Security"
positive_law: false
currency: "2012-06-27"
last_updated: "2012-06-27"
format_version: "1.1.0"
generator: "[email protected]"
agency: "Securities and Exchange Commission"
document_number: "2012-15637"
document_type: "notice"
publication_date: "2012-06-27"
agencies:
  - "Securities and Exchange Commission"
fr_citation: "77 FR 38361"
fr_volume: 77
docket_ids:
  - "Release No. 34-67234"
  - "File No. SR-ISE-2012-26"
---

#  Self-Regulatory Organizations; International Securities Exchange, LLC; Notice of Withdrawal of Proposed Rule Change To List and Trade Option Contracts Overlying 10 Shares of a Security

On April 9, 2012, the International Securities Exchange, LLC (“ISE”) filed with the Securities and Exchange Commission (“Commission”), pursuant to Section 19(b)(1) of the Securities Exchange Act of 1934 [^1] and Rule 19b-4 thereunder, [^2] a proposed rule change to list and trade option contracts overlying 10 shares of a security. Notice of the proposed rule change was published in the *Federal Register* on April 24, 2012. [^3] The Commission received five comment letters on the proposed rule change. [^4] On  June 1, 2012, the Commission extended the time period for Commission action to July 23, 2012. [^5] On June 11, 2012, ISE withdrew the proposed rule change (SR-ISE-2012-26).

[^1] 15 U.S.C. 78s(b)(1).

[^2] 17 CFR 240.19b-4.

[^3]*See* Securities Exchange Act Release No. 66827 (April 18, 2012), 77 FR 24547.

[^4]*See* letters to Elizabeth M. Murphy, Secretary, Commission, from Christopher Nagy, Managing Director Order Routing & Market Data Strategy, TD Ameritrade, dated April 30, 2012; Manisha Kimmel, Executive Director, Financial Information Forum, dated April 30, 2012; Edward T. Tilly, President  and Chief Operating Officer, Chicago Board Options Exchange, Incorporated, dated April 30, 2012; Joan C. Conley, Senior Vice President & Corporate Secretary, The NASDAQ OMX Group, Inc., dated April 30, 2012; and Jennifer Green Setzenfand, Chairman of the Board and James Toes, President and CEO, Security Traders Association, dated June 8, 2012.

[^5]*See* Securities Exchange Act Release No. 67097 (June 1, 2012), 77 FR 33794 (June 7, 2012).

For the Commission, by the Division of Trading and Markets, pursuant to delegated authority. [^6]

[^6] 17 CFR 200.30-3(a)(12).

Kevin M. O'Neill,

Deputy Secretary.