CFTC Staff Letters

CFTC Staff Letters provides Letters from 2008 and later. For Letters published before 2008 visit the Letters Archive page.

PDF Description
PDF Image 16-66 Letter Type: Exemption
Division: DSIO
Regulation Parts: 4.7(b)(3), 4.22
Tags: Annual Report, CPO, Exemptions, Pool Participant, Reporting
Issuance Date:
Description:

Exemptive relief for a CPO to prepare financial statements in accordance with Luxembourg GAAP in lieu of US GAAP


PDF Image 16-65 Letter Type: Exemption
Division: DSIO
Regulation Parts: 4.22
Tags: Pool Participant, Reporting
Issuance Date:
Description:

Exemptive relief for a CPO from auditing a pool’s 2015 annual report.


PDF Image 16-64 Letter Type: No-Action
Division: DMO, DCR, DSIO
Regulation Parts: 23
Tags: MSP, SD, Swap Dealer
Issuance Date:
Description:

Extension of No-Action Relief: Transaction-Level Requirements for Non-U.S. Swap Dealers


PDF Image 16-63 Letter Type: Exemption
Division: DSIO
Regulation Parts: 4.7(b)(3), 4.12, 4.22
Tags: Annual Report, CPO, Exemption, Exemptions, Pool Participant, Reporting
Issuance Date:
Description:

The CPO of an exempt commodity pool requested relief permitting it to file for the pool a 15-month audited Annual Report, in order to facilitate the pool’s recent change in fiscal year.


PDF Image 16-62 Letter Type: Advisories
Division: DSIO
Regulation Parts: 3.3
Tags: CCO
Issuance Date:
Description:

Advisory regarding chief compliance officer reporting lines for swap dealers, major swap participants, and futures commission merchants.


PDF Image 16-61 Letter Type: Advisories
Division: DCR
Regulation Parts: 39.39
Tags: SIDCO
Issuance Date:
Description:

Staff of the Division of Clearing and Risk prepared guidance to DCOs in order to aid DCOs in revising and improving their Recovery Plans and Wind-down Plans, and in preparing proposed rule submissions to implement their Recovery Plans and Wind-down Plans.


PDF Image 16-60 Letter Type: Advisories
Division: DSIO
Regulation Parts: 1026.320
Tags:
Issuance Date:
Description:

Staff Advisory that reminds: (1) futures commission merchants (FCMs) and introducing brokers (IBs) of their obligations to report suspicious activities as required by a regulation issued by the Financial Crimes Enforcement Network under the Bank Secrecy Act; and (2) FCMs, IBs and all other persons registered or required to be registered with the Commission to comply with the economic sanctions programs imposed against countries and groups of individuals that appear at 31 C.F.R. Chapter V. Advisory.


PDF Image 16-59 Letter Type: No-Action, Exemption
Division: DCR
Regulation Parts: 1.20, 1.49, 22.5
Tags: Acknowledgement, Customer, FCM, Funds, Segregated
Issuance Date:
Description:

No-action relief for Chicago Mercantile Exchange, Inc. with regard to Regulation 1.20(g)(4), and an exemption from the requirements of Regulation 1.49(d)(3) for customer accounts held at the Bank of Canada.


PDF Image 16-58 Letter Type: No-Action
Division: DMO, DCR
Regulation Parts: 37.9, 37.203, 38.152, 38.500
Tags: Abusive, Core Principles, Enforcement, Execution, Trading
Issuance Date:
Description:

DMO and DCR are extending the relief provided in CFTC Letter No. 15-24 and enabling SEFs and DCMs to address clerical and operational errors.


PDF Image 16-57 Letter Type: Exemption
Division: DSIO
Regulation Parts: 4.7(b)(3), 4.22
Tags: Annual Report, CPO, Exemptions, Pool Participant, Reporting
Issuance Date:
Description:

Exemptive relief for a CPO from auditing a pool’s 2015 annual report.