MFA Comment Letters

Topic: sale

MFA and Associations File Amicus Curiae Brief in RadLAX Gateway v. Amalgamated Bank Case Before U.S. Supreme Court03.09.12


MFA, with the Loan Syndications and Trading Association, SIFMA, and seven other trade associations submitted an amicus brief in the […]

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Topics: RadLAX Gateway Hotel LLC and RadLAX Gateway Deck LLC v Amagamated Bank write of certiorari, Mortgage Bankers Association, Securities Industry and Financial Markets Association, Loan Syndications and Trading Association, American Bankers Association, Clearing House Association, Commercial Finance Association, Equipment Leasing and Finance Association, Financial Services Roundtable, Elliot Ganz, Seth P. Waxman, Craig Goldblatt, Danielle Spinelli, Eric F. Citron, Shivaprasad Nagaraj, secured creditors, credit-bid, free-and-clear sale, secured credit, amici curiae, trade associations, corporate and commercial loans, mortgage-backed financing, asset-backed financing, private investment fund, borrowers, investment banks, manufacturers, hedge funds, funds of funds, managed futures funds, real-estate finance industry, chapter 11 plan of reorganization, collateral, undervaluation, secured financing, lien, fair and equitable, indubitable equivalent, stalking-horse bidder, Bankruptcy Code, secured creditor, cram-down, non-consenting class of secured creditors, speedy-trial deadline, statutory surplusage, consenual plans, nonconsensual free-and-clear sale, bankruptcy law, cash out, Judge Hand, clear and manifest contrary intention, Justice Brandeis, transfer, sale, sale exception, inconsequential value, valuation, present value, favored bidders, old equity, existing management, bankruptcy estate, available bidders, bidder, white knight bidders, commercial real-estate loans, commercial mortgage-backed securities, CMBS, real estate mortgage investment conduits, REMICs, BFP v. Resolution Trust Corp., Bloate v. United States, Bank of America National Trust & Savings Association v. 203 North LaSalle St. Partnership, D. Ginsberg & Sons Inc. v. Popkin, Dewsnup v. Timm, Duncan v. Walker, Dynamics Corp. of America v. CTS Corp., Easton v. German-American Bank, In re Beker Industries Corp., In re California Hancock Inc., In re FCX Inc., In re Murel Holding Corp., In re Philadelphia Newspapers LLC, In re River East Plaza LLC, In re Yale Express System Inc., Louisville Joint Stock Land Bank v. Radford, Pacific Gas & Electric Co. v. California ex rel. California Department of Toxic Substances Control, Sage v. Central Railroad Co., Toibb v. Radloff, W.B. Worthen Co. v. Kavanaugh, Wright v. Vinton Branch of Mountain Trust Bank,

Supplementary Letter to the SEC in Response to its Proposed Antifraud Rule with Respect to Security-Based Swaps03.29.11


MFA submitted a letter to supplement our December 23, 2010 letter to the SEC in response to its proposed antifraud […]

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Topics: Securities and Exchange Commission SEC, Fraud, Manipulation, Deception, security-based swaps, anti-fraud rule, security based swaps market, cost-benefit analysis, honest markets, legitimate market activity, US OTC derivatives market, derivatives market, swaps market, legitimate market participation, purchase, sale, definitions, statutory authorization, security based swap anti-fraud rule, Securities Industry and Financial Markets Association, International Swaps and Derivatives Association Inc, The Loan Syndications and Trading Association, maturity date, context, bilateral contracts, novations, unwinds, assignments, execution, termination, assignment, exchange, transfer of rights/obligations, conveyance of rights/obligations, extinguishment of rights/obligations, total return swaps, credit default swaps, transferor, credit events, corporate actions, underlying shares, disruption events, termination events, collateral, systemic risk, interim payments, premium payments, spread payments, material non-public information, ISDA master agreement, clearing agreement, counterparty defaults, bankruptcy proceedings, Bankruptcy Code, automatic stay provisions, price discovery process, fair dealing, competition, capital formation, Financial Crisis Inquiry Commission, single name credit default swaps, non-index multi-name credit default swaps, equity linked forwards, equity-linked swaps, unallocated swaps, Bank of International Settlements, BIS, price discovery, primary participant, secondary participant, credit exposure, equity exposure, institutional leveraged loans, investment grade bonds, Financial Stability Board, primary debt issuance, investment grade loans, leveraged loans, LBO-related loans, corporate loans, high yield bonds, Loan market Review, Reuters, SEC v. Rotech, FCIC, CDS market, swap market, financial crisis, price efficiency, investor confidence, material dislocation,

Comment Letter Regarding SEC Study on the Whether the Establishment of a Self-Regulatory Organization Would Improve the Frequency of Examinations of Investment Advisers12.16.10


MFA submitted a letter today providing comments to the SEC on Section 914 of the Dodd-Frank Act, which requires the […]

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Topics: investment adviser examination self-regulatory organization, SRO, securities market, hedge fund managers, Securities and Exchange Commission, SEC, Commodities Futures Trading Commission, CFTC, private fund manager, capital formation, broker dealers, oversight, derivative, derivatives trading activities, investment activity, insider trading, short selling, Disclosure, purchase, sale, nregistered securities, broker-dealer, clearing agencies, over-the-counter derivatives, OTC derivatives, swap dealers, swaps, major swap participants, msp, initial margin, variation margin, transparency, Transaction Reporting, systemic risk, assets under management, leverage, trading positions, counterparties, liquidation, Investor Protection, Compliance Policies, chief compliance officer, Obama Administration's Financial Regulatory Reform Proposals, Committee on Financial Services, U.S. House of Representatives, Department of Labor, Department of the Treasury, National Association of Securities Dealers, NASD, over-the-counter securities markets, Office of Compliance Inspections and Examinations, OCIE, forensic accounting, compliance, registration, check-the-box, fiduciary duty, securities transactions, investment advisory firm, financial planners, traditional asset management firm, wealth managers, small advisers, mutual fund, pension, FINRA, Financial Industry Regulatory Authority, clearing, custody, securities lending, reporting, Financial Stability Oversight Council, FSOC, Investment Adviser Association and National Regulatory Services, Dodd-Frank Act,

MFA Submits Comment Letter to the SEC on Amendments to Rule 10502.12.07


MFA submits comments to the SEC on amendments to Rule 105

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