MFA submitted a letter to the CFTC’s Division of Market Oversight (Division) requesting time-limited, conditional no-action relief from the trade […]
On January 8, MFA submitted a letter as a request for action by the CFTC to conduct targeted compliance reviews […]
MFA submitted comments to the CFTC regarding a concept release on risk controls and system safeguards for automated trading environments. […]
On November 21, MFA submitted a comment letter to the CFTC in response to the MAT submissions of Javelin SEF, […]
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 and AIMA submitted a letter to the Division of Clearing and Risk and the Division of Swap Dealer and […]
MFA submitted a comment letter to the Securities and Exchange Commission (SEC) on its proposed rules on “Capital, Margin, and […]
MFA submitted a comment letter to the Commodity Futures Trading Commission (CFTC) on its proposed rulemaking on “Enhancing Protections Afforded […]
MFA submitted a comment letter to the Securities and Exchange Commission (SEC) in response to its “Order Granting Conditional Exemptions […]
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.