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Preparing for Change: What to Know About the Shift to T+1

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Manage episode 412827836 series 2309258
内容由FINRA提供。所有播客内容(包括剧集、图形和播客描述)均由 FINRA 或其播客平台合作伙伴直接上传和提供。如果您认为有人在未经您许可的情况下使用您的受版权保护的作品,您可以按照此处概述的流程进行操作https://zh.player.fm/legal

On May 28th, U.S. markets are moving to a one-day settlement cycle, familiarly known as T+1. This move, which returns the settlement time frame back to a point at which it last stood a century ago, will have wide ranging impacts for firms, investors and regulators.

On this episode, we hear from James Barry, Director of Credit Regulation with FINRA's Office of Financial and Operational Risk Policy, Bobby Gomez, a Senior Director with Market Regulation and Transparency Services' Strategic Initiatives team, Mike MacPherson, a Senior Advisor in Member Supervision's Risk Monitoring group, and John Nachmann, Associate General Counsel with the Office of General Counsel's Regulatory Practice, to discuss what all market participants need to be thinking about and testing ahead of the transition.

Resources mentioned in this episode:

Episode 127: Understanding the Unique Risks of Every Firm

DTCC: The Key to T+1 Success Blog

Reg Notice 23-15: Regulation T and SEA Rule 15c3-3 Extension

Technical Notice: T+1 Settlement Testing

FINRA Margin Regulation

FINRA Investor Insight: Understanding Settlement Cycles

2024 Annual Regulatory Oversight Report

Find us: X / YouTube /LinkedIn / Facebook / E-mail

  continue reading

54集单集

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Manage episode 412827836 series 2309258
内容由FINRA提供。所有播客内容(包括剧集、图形和播客描述)均由 FINRA 或其播客平台合作伙伴直接上传和提供。如果您认为有人在未经您许可的情况下使用您的受版权保护的作品,您可以按照此处概述的流程进行操作https://zh.player.fm/legal

On May 28th, U.S. markets are moving to a one-day settlement cycle, familiarly known as T+1. This move, which returns the settlement time frame back to a point at which it last stood a century ago, will have wide ranging impacts for firms, investors and regulators.

On this episode, we hear from James Barry, Director of Credit Regulation with FINRA's Office of Financial and Operational Risk Policy, Bobby Gomez, a Senior Director with Market Regulation and Transparency Services' Strategic Initiatives team, Mike MacPherson, a Senior Advisor in Member Supervision's Risk Monitoring group, and John Nachmann, Associate General Counsel with the Office of General Counsel's Regulatory Practice, to discuss what all market participants need to be thinking about and testing ahead of the transition.

Resources mentioned in this episode:

Episode 127: Understanding the Unique Risks of Every Firm

DTCC: The Key to T+1 Success Blog

Reg Notice 23-15: Regulation T and SEA Rule 15c3-3 Extension

Technical Notice: T+1 Settlement Testing

FINRA Margin Regulation

FINRA Investor Insight: Understanding Settlement Cycles

2024 Annual Regulatory Oversight Report

Find us: X / YouTube /LinkedIn / Facebook / E-mail

  continue reading

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