Market Risk Advisory Committee

The Market Risk Advisory Committee (MRAC) advises the Commission on matters relating to evolving market structures and movement of risk across clearinghouses, exchanges, intermediaries, market makers and end-users. It examines systemic issues that threaten the stability of the derivatives markets and other financial markets, and makes recommendations on how to improve market structure and mitigate risk. Members include representatives of clearinghouses, exchanges, intermediaries, market makers, end-users, academia, and regulators.

Commissioner Kristin N. Johnson sponsors the MRAC. Danielle Abada, Senior Counsel to Commissioner Johnson, serves as the Designated Federal Officer and Peter Janowski, Trial Attorney in the Division of Enforcement, serves as the Alternate Designated Federal Officer. Senior Counsel Christopher Lamb serves as the Alternate Designated Federal Officer of the Future of Finance and Climate-Related Market Risk Subcommittees.

Committee Charter (PDF)

Central Counterparty (CCP) Risk and Governance
NameEntity RepresentingTitle
Alessandro Cocco
(Co-Chair)
Regular Government EmployeeSenior Policy Advisor
Ruth ArnouldBank of AmericaManaging Director and Associate General Counsel
Dr. Richard Berner Clinical Professor of Management Practice in the Department of Finance and Co-Director of the Stern Volatility and Risk Institute
Lee BetsillCME GroupManaging Director and Chief Risk Officer
Juan BlackwellOntario Teachers’ Pension PlanHead of Credit & Counterparty Risk Management
Alicia CrightonFutures Industry AssociationGlobal Co-Head of Futures and Head of OTC and Prime Clearing Businesses, Goldman Sachs
Joseph GarelickBlackRockVice President of Risk & Quantitative Analysis Group
Reginald GriffithLouis Dreyfus CompanyGlobal Head of Regulatory Compliance
Graham HarperFutures Industry Association – Principal Traders GroupHead of Public Policy and Market Structure at DRW
David HornerLondon Stock Exchange GroupChief Risk Officer, LCH Ltd
Demetri KarousosNodal Exchange, LLCPresident and COO
Elizabeth King
(Co-Chair)
Intercontinental Exchange, Inc.Global Head of Clearing and Chief Regulatory Officer
Tim McHenryNational Futures AssociationSenior Vice President
Rajalakshmi RamanathJ.P. MorganExecutive Director, CCP Credit and Risk Strategy
Paolo SaguatoGeorge Mason UniversityAssociate Professor of Law, Antonin Scalia Law School
Dmitrij SenkoEurex Clearing AGChief Risk Officer
Viktor VadaszMorgan StanleyExecutive Director, Bank Resource Management
Climate-Related Market Risk

Membership for this Subcommittee is currently under review.

Future of Finance
NameEntity RepresentingTitle
Alessandro CoccoU.S. Department of the Treasury, Financial Stability Oversight CouncilSenior Policy Advisor
Tim CuddihyDepository Trust and Clearing CorporationManaging Director and Group Chief Risk Officer
Edward DassoNational Futures AssociationSenior Vice President, Market Regulations
Mark HaysAmericans for Financial ReformSenior Policy Analyst
David HornerLondon Stock Exchange GroupChief Risk Officer, LCH Ltd
Gary KalbaughING Financial Holdings, Corp.Deputy General Counsel and Director
Purvi ManiarFalconX Bravo, Inc.Deputy General Counsel
Jai MassariLightspark Group, Inc.Co-Founder and Chief Legal Officer
Jessica RenierInstitute of International FinanceManaging Director, Digital Finance
Rebecca RettigPolygon LabsChief Risk Officer
Tyson SlocumPublic CitizenDirector, Energy Program
Petal WalkerLiquidity Lock Global MarketAdvisory Board Member
Kevin Werbach Liem Sioe Liong / First Pacific Company Professor, Professor of Legal Studies and Business Ethics, and department chair at the Wharton School, University of Pennsylvania
Yesha Yadav Milton R. Underwood Chair and Professor of Law, Associate Dean & Robert Belton Director of Diversity, Equity & Community at Vanderbilt University
Market Structure
NameEntity RepresentingTitle
Ann Battle (Co-Chair)International Swaps and Derivatives AssociationSenior Counsel, Market Transitions & Head of Benchmark Reform
Stephen BergerCitadel, LLCManaging Director, Global Head of Government & Regulatory Policy
Dr. Richard Berner Clinical Professor of Management Practice in the Department of Finance and Co-Director of the Stern Volatility and Risk Institute
David BowmanBoard of Governors of the Federal Reserve SystemSenior Associate Director
Biswarup Chatterjee (Co-Chair)CitigroupManaging Director and Head of Innovation for the Global Markets Division
Tim CuddihyDepository Trust and Clearing CorporationManaging Director and Group Chief Risk Officer
Edward DassoNational Futures AssociationSenior Vice President-Market Regulation
Reginald GriffithLouis Dreyfus CompanyGlobal Head of Regulatory Compliance
Jennifer HanManaged Funds AssociationChief Counsel and Head of Global Regulatory Affairs
Graham HarperFutures Industry Association Principal Traders GroupHead of Public Policy and Market Structure at DRW
David HornerLondon Stock Exchange GroupChief Risk Officer, LCH Ltd
Elisabeth KirbyTradeweb MarketsManaging Director and Head of Market Structure
Derek KleinbauerBloomberg SEF LLCPresident
Ernie W. KohnkeCommodity Markets CouncilGeneral Counsel, Vitol
Andrew NashManaging Director and Head of Regulatory AffairsMorgan Stanley
Ashwini PanseIntercontinental Exchange, Inc.Head of Risk Oversight for ICE Clear Netherlands, and Chief Risk Officer for the North American Clearinghouses
Marnie RosenbergManaging Director, Global Head of Central Counterparty Credit Risk and StrategyJPMorgan Chase & Co.
Guy RowcliffeOSTTRACo-CEO and Chief Commercial Officer
Tyson SlocumPublic CitizenDirector, Public Citizen Energy Program
Nathaniel WuerffelThe Bank of New York MellonHead of Market Structure
Huan ZhangNodal Clear, LLCChief Risk Officer
Interest Rate Benchmark Reform (Inactive)

Meetings

  

Date Meeting Details

First meeting of the MRAC under its new charter and welcome new and returning members to discuss the committee’s agenda and current initiatives to reform LIBOR, including the development and adoption of alternative interest rate benchmarks. Full details, including minutes and agenda, here.

Meeting to discuss the statutory and regulatory process for the listing of new and novel products on CFTC-regulated designated contract markets and swap execution facilities through self-certification. Full details, including minutes and agenda, here.

Meeting to discuss how the CFTC’s Division of Clearing and Risk conducts risk surveillance of central counterparties (CCPs); how to better inform the CCP regulatory framework through academic research and economic analysis, and advise the Commission of the potential effects of Brexit on financial markets. Full details, including minutes and agenda, here.

Meeting to discuss the staff’s response to the CRM Subcommittee’s recommendation on how CCPs can further enhance their efforts in preparing for the default of a significant clearing member, cybersecurity trends, and how well derivatives markets are currently functioning. Full details, including minutes and agenda, here.

Meeting to discuss CCP Risk Management Subcommittee recommendation on how CCPs can further enhance their efforts in preparing for the default of a significant clearing member and the Bank of England’s coordinated CCP default fire drill. Full details, including minutes and agenda, here.

Meeting to discuss CCP Risk Management Subcommittee’s draft recommendations on how CCPs can better coordinate their efforts in preparing for the default of a significant clearing member and the role of the Federal Deposit Insurance Corporation and CFTC in the resolution of both banks and CCPs. Full details, including minutes and agenda, here.

Meeting to discuss how well the derivatives markets are currently functioning, including the impact and implications of the evolving structure of these markets on the movement of risk across market participants. Full details, including minutes and agenda, here.