Regulation and Compliance in Managed Futures
The views expressed in this program are solely those of the host and speakers in their individual capacity and they do not necessarily reflect the views of the program’s sponsors or the entities with which any of the participants are affiliated. The contents of this program are for informational and educational purposes only. They do not constitute and should not be considered legal, tax, investment advice or a solicitation of the sale or purchase of any futures, options or swaps contracts.
Guests: Art Bell, Chairman at Arthur Bell LLC; JP Bruynes, Partner at Akin Gump Strauss Hauer & Feld LLP; Jennifer Sunu, Director of Compliance at NFA.
Part 1
url
https://www.cmegroup.com/content/dam/cmegroup/education/podcasts/files/regulation-and-compliance-in-managed-futures-part-1.mp3
length
43:57
Topics discussed:
- How the different regulatory bodies work together in the US
- Why investing in managed futures is a good idea
- Questions new investors should be asking
Part 2
url
https://www.cmegroup.com/content/dam/cmegroup/education/podcasts/files/regulation-and-compliance-in-managed-futures-part-2.mp3
length
46:12
Topics discussed:
- The dangers of over-regulation
- Importance of cyber security and how to protect yourself
- Managed futures in the last twenty years
- Why we need to worry about the “race to zero”
Back to the Alternative Investment Podcast Page
More by this Author
optional tags
authors/top-traders-round-table