MFA submitted a letter to the SEC requesting it to provide a 60-day comment period on a proposed Tick Test Pilot Program, […]
MFA submitted a letter to the Securities and Exchange Commission in response to FINRA’s proposed change to its amendments to […]
MFA submitted comments to the CFTC regarding a concept release on risk controls and system safeguards for automated trading environments. […]
MFA submitted comments to the SEC in response to its notice of the Financial Industry Regulatory Authority’s (“FINRA”) amendments to […]
MFA submitted a letter to the Securities and Exchange Commission in response to proposed amendments to FINRA Rule 5131 (New […]
Today, MFA filed a letter to the SEC on FINRA’s proposal to add supplementary material to FINRA Rule 5210 (Publication […]
On September 18, MFA and the Alternative Investment Management Association (AIMA) submitted a joint follow-up letter to Mr. John Ramsay, […]
MFA, the American Council of Life Insurers (ACLI), and the Alternative Investment Management Association (AIMA) (collectively, the “Associations”) submitted a […]
MFA submitted a comment letter to the Securities and Exchange Commission (SEC) on its proposed rules on “Capital, Margin, and […]
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