MFA and AIMA submitted a letter to the Division of Clearing and Risk and the Division of Swap Dealer and […]
MFA submitted a supplemental comment letter to the U.S. prudential regulators during the reopened comment period for their proposed rulemaking […]
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MFA and AIMA Submit Letter to CFTC Staff Seeking Repeal of Interpretation 10-1 for Futures05.07.13
MFA and AIMA submitted a letter to the Division of Clearing and Risk and the Division of Swap Dealer and […]
Topics: AIMA Alternative Investment Management Association, CFTC, Commodities Futures Trading Commission, Gary Barnett, Ananda Radakrishnan, segregation, futures, options, Division of Clearing and Risk, Division of Swap Dealer and Intermediary Oversight, futures commission merchants, FCM, Division of Trading and Markets, third-party custody arrangement, margin, liquidation, MF Global Inc., Peregrine Financial Group, custodian, bank custodians, Futures Industry Association, FIA, over-the-counter derivatives, OTC derivatives, swaps, dealers, default, Counterparty, Joint Audit Committee, exchanges, ACC, BTEC, CBOT, CME, COMEX, CSC, ELX Futures, KCBOT, MESL, MGE, NQLX, NYCE, NYFE, NYMEX, One Chicago, PBOT, NFA, National Futures Association, bankruptcy, derivatives contracts, SIFMA, Securities Industry and Financial Markets Association, ISDA, International Swaps and Derivatives Association, uncleared swaps, portfolio margining, customer asset, insolvency, fellow customer risk, derivatives clearing organization, DCO, operational risk, Fraud, transparency, Futures Markets,