Market Data Notifications

Reminder: Bats Equity Market Data Fee Schedule Changes Effective January 3, 2017

October 24, 2016

As previously announced, effective January 3, 2017, Bats Global Markets will introduce the following fees relating to the Display Usage of market data for the Bats BZX Exchange (BZX), BYX Exchange (BYX), EDGX Exchange (EDGX), and EDGA Exchange (EDGA), pending filing with the SEC. Please click on the title for complete details.

Reminder: Bats Global Markets to Introduce Bats Summary Depth Feeds on January 3, 2017

October 03, 2016

As previously announced, Bats Global Markets will be introducing the Bats Summary Depth Feeds on January 3, 2017 to deliver aggregated depth and trade information for each of the four U.S. equity exchanges operated by Bats. Click the title for more details.

Notice Regarding Changes to Bats U.S. Market Data Policies Effective November 1, 2016

September 01, 2016

Effective November 1, 2016, Bats Global Markets will introduce the following changes to its Bats U.S. Market Data Policies relating to Delayed Data Distribution and Display Usage reporting for equity depth Exchange Data for the Bats BZX Exchange (BZX), BYX Exchange (BYX), EDGX Exchange (EDGX), and EDGA Exchange (EDGA). Please click on the title for complete details.

Bats Global Markets to Introduce Bats Summary Depth Feeds on January 3, 2017

August 17, 2016

Bats Global Markets is pleased to announce the introduction of the Bats Summary Depth Feeds, pending filing with the SEC, which will deliver aggregated depth and trade information for each of the four U.S. equity exchanges operated by Bats. Bats Summary Depth, which will be disseminated on a per-exchange basis, can be utilized by customers and vendors to quickly access and distribute aggregated depth data to employees within their own organization or provide externally as part of a product offering. Each feed will provide five price-levels of aggregated depth per security, including the bid, ask, and share quantity for orders received by each Bats exchange as well as the last trade including time of execution, price and share quantity. Please click on the title for complete details.

Bats Equity Market Data Fee Schedule Changes Effective January 2, 2017

July 05, 2016

Effective Monday, January 2, 2017, Bats Global Markets will introduce the following fees relating to the Display Usage of market data for the Bats BZX Exchange (BZX), BYX Exchange (BYX), EDGX Exchange (EDGX), and EDGA Exchange (EDGA), pending filing with the SEC. Please click the title for complete details.

Update: Bats Announces Enhancements to the Bats One Feed Effective August 15, 2016

June 22, 2016

Please be advised that based on customer feedback, Bats will be rescheduling the release of the following four feature updates to the Bats One equities feed to Monday, August 15, 2016 from Monday, August 1. Please click on the title for complete details.

Bats Announces Enhancements to the Bats One Feed Effective August 1, 2016

May 16, 2016

Please be advised that effective Monday, August 1, 2016, Bats will be adding four feature updates to the Bats One equities feed. Please click on the title for complete details.

Bats Market Data Fee Schedule Changes Effective June 1, 2016

April 22, 2016

Effective Wednesday, June 1, 2016, Bats Global Markets will introduce the following fee changes relating to the distribution of market data for the Bats BYX Exchange (BYX), EDGA Exchange (EDGA), and EDGX Exchange (EDGX), pending filing with the SEC. Please click on the title for complete details.

Reminder: Bats US Equities/Options Multicast Depth of Book (PITCH) Specification Update Effective Tuesday, March 29, 2016

March 28, 2016

Bats will be extending the Add Order (expanded) message in the Multicast Depth of Book (PITCH) specification to include a new Customer Indicator field effective Tuesday, March 29, 2016. On the effective date, the new field will be present on Multicast PITCH on BYX Exchange, BZX Exchange, EDGA Exchange, EDGX Exchange, BZX Options and EDGX Options. Please click on the title for complete details.

Bats US Equities/Options Multicast Depth of Book (PITCH) Specification Update Schedule Modified for Release Effective Tuesday, March 29, 2016

March 11, 2016

Bats will be extending the Add Order (expanded) message in the Multicast Depth of Book (PITCH) specification to include a new Customer Indicator field effective Tuesday, March 29, 2016. On the effective date, the new field will be present on Multicast PITCH on BYX Exchange, BZX Exchange, EDGA Exchange, EDGX Exchange, BZX Options and EDGX Options.

Bats US Equities/Options Multicast Depth of Book (PITCH) Specification Update Postponed to Tuesday, March 15, 2016

February 24, 2016

BATS will be extending the Add Order (expanded) message in the Multicast Depth of Book (PITCH) specification to include a new Customer Indicator field effective Tuesday, March 15, 2016 (UPDATED) for all US Exchanges. Additionally, the Customer Capacity identifier is moving to the new field on the effective date for EDGX Options and will be introduced to BZX Options (pending filing with the SEC). Please click on the title for complete details.

Notice Regarding Changes to Bats Global Markets, Inc. Data Agreement and U.S. Market Data Policies

February 19, 2016

As we have provided through a previous notice to Bats customers, Bats has officially changed its legal name from BATS Global Markets, Inc. (BATS) to Bats Global Markets, Inc. (Bats), with the word Bats title-cased vs. all uppercase letters. This email provides notice that the Bats U.S. Data Agreement and Market Data Policies have been amended to reflect the name change, to include references to Hotspot and to provide for the provision of currency data under the Bats U.S. Data Agreement and Market Data Policies. Please click the title for complete details.

BATS US Equities/Options Multicast Depth of Book (PITCH) Specification Update Effective Tuesday, March 1, 2016

January 22, 2016

BATS will be extending the Add Order (expanded) message in the Multicast Depth of Book (PITCH) specification to include a new Customer Indicator field effective Tuesday, March 1, 2016 for all US Exchanges. Additionally, the Customer Capacity identifier is moving to the new field on the effective date for EDGX Options and will be introduced to BZX Options (pending filing with the SEC). Please click on the title for complete details.