2013 Rule Filings
| SR-FINRA-2013-024 | Proposed Rule Change to Amend the Discovery Guide Used in Customer Arbitration Proceedings | |
| SR-FINRA-2013-023 | Proposed Rule Change to Amend FINRA Rule 12403 of the Code of Arbitration Procedure for Customer Disputes to Simplify Arbitrator Selection in Cases with Three Arbitrators | |
SR-FINRA-2013-022
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Proposed Rule Change Relating to Dissemination of Agency-Pass Through Mortgage-Backed Securities and SBA-Backed ABS Traded in Specified Pool Transactions | |
| SR-FINRA-2013-021 | Proposed Rule Change Relating to an Extension of the Implementation Date for FINRA Rule 5270 (Front Running of Block Transactions) | |
| SR-FINRA-2013-020 | Proposed Rule Change to Amend FINRA Rule 5250 (Payments for Market Making) to Create an Exception for Payments to Members that are Expressly Provided for Under the Rules of a National Securities Exchange | |
| SR-FINRA-2013-019 | Proposed Rule Change Relating to FINRA Rule 0180 (Application of Rules to Security-Based Swaps) | |
SR-FINRA-2013-018
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Proposed Rule Change Relating to FINRA Rule 8313 (Release of Disciplinary Complaints, Decisions and Other Information) | |
| SR-FINRA-2013-017 | Proposed Rule Change Relating to FINRA Rule 4240 (Margin Requirements for Credit Default Swaps) | |
| SR-FINRA-2013-016 | Proposed Rule Change to Amend FINRA Rules in Accordance with the Regulation NMS Plan to Address Extraordinary Market Volatility | |
| SR-FINRA-2013-015 | Proposed Rule Change to Amend Section 4 of Schedule A to the FINRA By-Laws to Adopt a Waiver Process for the Continuing Membership Application Fee and Amend NASD Rules 1013 and 1017 to Provide for a Refund of the Application Fee for the Withdrawal of a New Member or Continuing Membership Application | |
| SR-FINRA-2013-014 | Proposed Rule Change Relating to the General Securities Sales Supervisor (Series 9/10) Registration Category | |
| SR-FINRA-2013-013 | Proposed Rule Change to Require Members to Report OTC Equity Transactions As Soon As Practicable, But No Later Than 10 Seconds, Following Execution | |
| SR-FINRA-2013-012 | Proposed Rule Change to Extend the Clearly Erroneous Pilot Period and to Adopt a New Provision in Connection with the Limit Up-Limit Down Plan | |
| SR-FINRA-2013-011 | Proposed Rule Change to Delay the Operative Date of FINRA Rule 6121.02 (Market-wide Circuit Breakers in NMS Stocks) | |
| SR-FINRA-2013-010 | Proposed Rule Change to Extend the Effective Date of the Trading Pause Pilot | |
| SR-FINRA-2013-009 | Proposed Rule Change to Modify the “Late Report—T+N” Fee Applicable to Members Using the FINRA/Nasdaq Trade Reporting Facility | |
| SR-FINRA-2013-008 | Proposed Rule Change Extending the Pilot Period Regarding the Use of Multiple MPIDs on FINRA Facilities | |
| SR-FINRA-2013-006 | Proposed Rule Change Relating to FINRA Rule 4530 (Reporting Requirements) | |
| SR-FINRA-2013-005 | Proposed Rule Change to Adopt Interim Form for Funding Portals Under the Jumpstart Our Business Startups Act | |
| SR-FINRA-2013-004 | Proposed Rule Change to Delay the Implementation Date of FINRA Rule 5350 (Stop Orders) | |
| SR-FINRA-2013-003 | Proposed Rule Change to Amend FINRA's Customer and Industry Codes of Arbitration Procedure to Revise the Public Arbitrator Definition | |
| SR-FINRA-2013-002 | Proposed Rule Change to Amend FINRA Rule 2267 (Investor Education and Protection) | |
| SR-FINRA-2013-001 | Proposed Rule Change to Update Cross-References and Make Other Non-Substantive Changes Within FINRA Rules and By-Laws |