U.S. Securities & Exchange Commission
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U.S. Securities and Exchange Commission

Open Meeting Agenda
Wednesday, October 26, 2011


Reporting by Investment Advisers to Private Funds and Certain Commodity Pool Operators and Commodity Trading Advisers on Form PF


Division of Investment Management


Robert E. Plaze, Sarah G. ten Siethoff, David P. Bartels

The Commission will consider whether to adopt a rule requiring advisers to hedge funds and other private funds to report information for use by the Financial Stability Oversight Council in monitoring risk to the U.S. financial system. The new Advisers Act rule would implement sections 404 and 406 of the Dodd-Frank Act.

For further information, please contact David P. Bartels or Sarah G. ten Siethoff, Division of Investment Management, at (202) 551-6787.



Modified: 10/25/2011