Subject: File No. S7-24-15
From: Richard Barrese

March 11, 2020

I object to the proposed rule S7-24-15 and fully understand the risk of trading LI funds and think this is truly an infringement of my rights as a trader. How could the SEC tell allow one person to trade the fund while they band others that just doesn't seem right.

My brokerage account (TD) sends me information on this fund on a regular basis that clearly identifies the risks associated with leverage funds and I understand the risks with these types of funds and monitor all my investments on a daiy basis