MFA submitted a supplemental letter to the SEC that proposes both required and permitted contractual terms for tri-party segregation arrangements […]
On November 28, MFA filed a comment letter in response to the Financial Stability Board’s consultative document — FSB Policy […]
MFA submitted comments to the Securities and Exchange Commission, Federal Reserve, Federal Deposit Insurance Corporation, Office of the Comptroller of […]
MFA and AIMA submitted a joint letter to the Financial Stability Board (IOSCO) in response to its consultative document on […]
MFA and AIMA submitted a joint letter to the Committee of Payment and Settlement Systems (CPSS) and the International Organisation […]
MFA submitted a comment letter to ESMA in response to ESMA’s consultation paper on AIFMD reporting guidelines. In the letter, […]
MFA submitted a letter to staff from the Division of Trading and Markets of the Securities and Exchange Commission (SEC) […]
MFA, the American Council of Life Insurers (ACLI), and the Alternative Investment Management Association (AIMA) (collectively, the “Associations”) submitted a […]
MFA submitted a letter to the Commodity Futures Trading Commission (CFTC) requesting prompt and appropriate relief from the CFTC’s final […]
MFA submitted a comment letter to the Working Group on Margining Requirements (WGMR) of the Basel Committee on Banking Supervision […]
The latest news on legislative and regulatory issues affecting the hedge fund industry from Washington, D.C. and beyond.
Managed Funds Association's Hedge Fund Investor Map is a new and unique educational tool that offers a comprehensive look at the institutional hedge fund investor landscape in the U.S.