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  • [Federal Register: September 6, 2007 (Volume 72, Number 172)]


    [Page 51214-51215]

    From the Federal Register Online via GPO Access []





    Sunshine Act Meeting

    Agency Holding the Meeting: Commodity Futures Trading Commission


    Date and Time: Tuesday, September 18, 2007, commencing at 9 a.m.

    Place: 1155 21st Street, NW., Washington, DC, Lobby Level Hearing Room

    (Room 1000).

    Status: Open.

    Matters to be Considered: Public hearing to examine the oversight of

    trading on regulated futures exchanges and Exempt Commercial Markets


    Contact Persons and Addresses: Requests to appear and supporting

    materials should be mailed to the Commodity Futures Trading Commission,

    Three Lafayette Center, 1155 21st Street, NW., Washington, DC 20581,

    attention Office of the Secretariat; transmitted by facsimile at 202-

    418-5521; or transmitted electronically to [].

    Reference should be made to ``oversight of trading on regulated futures

    exchanges and Exempt Commercial Markets.'' For substantive questions

    regarding requests to appear and supporting materials, please contact

    David P. Van Wagner, Chief Counsel, (202) 418-5481; or Duane Andresen,

    Special Counsel, (202) 418-5492, Division of Market Oversight.

    SUPPLEMENTARY INFORMATION: The Commission is undertaking a review of

    issues related to the oversight of trading on regulated futures

    exchanges and Exempt Commercial Markets (ECMs). In furtherance of that

    review, the Commission hereby announces that it will hold a public

    hearing to commence on Tuesday, September 18, 2007, at 9 a.m., at the

    Commission's headquarters in Washington, DC.

    The Commission has previously announced that the hearing will

    generally focus on a number of issues, including:

    The tiered regulatory approach of the Commodity Futures

    Modernization Act of 2000 (CFMA) and whether this risk-based model is


    The similarities and differences between ECMs and

    regulated exchanges;

    The associated regulatory risks of each market category;

    The types of regulatory or legislative changes that might

    be appropriate to address such identified risks; and

    The impact that regulatory or legislative changes might

    have on the

    [[Page 51215]]

    U.S. futures industry and the global competitiveness of the U.S.

    financial industry in general. (CFTC Release No. 5368-07, August 2,


    A transcript of the hearing will be made and entered into the

    Commission's public comment files, which will remain open for the

    receipt of written comments until September 24, 2007.

    Issued in Washington, DC, on September 4, 2007, by the


    David Stawick,

    Secretary of the Commission.

    [FR Doc. 07-4379 Filed 9-4-07; 12:33 pm]

    BILLING CODE 6351-01-P

    Last Updated: September 6, 2007