Subject: File No. S7-24-15
From: Eric Wolf

March 10, 2020

With regard to the proposed regulation, I do not agree that my brokerage firm should be given the right to determine if I am sufficiently capable to assess risk, or to disqualify me from trading LI Funds. I have 35 years experience in managing my own investments and risk profile. I have traded LI funds for over five years and monitor my brokerage account several times a day. The SEC already requires extensive risk disclosure in the Prospectus and I receive frequent warnings of risk from my brokerage. As such I believe my prior and current use of LI funds should automatically qualify me to continue trading LI funds under the proposed regulations.