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Publication Details
Type
Proposed Rulemaking
Document Number
2011-10432
Federal Register Publish Date
05/11/2011
Comment Open Date
05/11/2011
Comment End Date
06/24/2011
Comment Status
Closed
Rulemaking Details
Rulemaking

Margin and Capital Requirements for Covered Swap Entities

Contact Information

FOR FURTHER INFORMATION CONTACT: Robert Collender, Principal Policy Analyst, Office of Policy Analysis and Research, (202) 343–1510, Robert.Collender@fhfa.gov, Peggy Balsawer, Assistant General Counsel, Office of General Counsel, (202) 343–1529, Peggy.Balsawer@fhfa.gov or James Carley, Senior Associate Director, Division of FHLBank Regulation, (202) 408–2507, James.Carley@fhfa.gov, Federal Housing Finance Agency, Fourth Floor, 1700 G Street, NW., Washington, DC 20552. If you are deaf, hard of hearing, or have a speech disability, please dial 7-1-1 to access telecommunications relay services. Additionally, the TDD 1-(800) number referenced in Rulemaking documents attached to this page is obsolete and the 7-1-1 number should be used.

Summary

SUMMARY: The OCC, Board, FDIC, FCA, and FHFA (collectively, the Agencies) are requesting comment on a proposal to establish minimum margin and capital requirements for registered swap dealers, major swap participants, security-based swap dealers, and major security-based swap participants for which one of the Agencies is the prudential regulator. This proposed rule implements sections 731 and 764 of the Dodd-Frank Wall Street Reform and Consumer Protection Act, which require the Agencies to adopt rules jointly to establish capital requirements and initial and variation margin requirements for such entities on all non-cleared swaps and non-cleared security-based swaps in order to offset the greater risk to such entities and the financial system arising from the use of swaps and security-based swaps that are not cleared.

DATES: Comments should be received on or before June 24, 2011.​
 

Public Comments people-icon

Below are a compilation of public comments made on this publication.

100 items
Date Sort ascending First Name Last Name Organization Comment
Mark Scanlan Independent Community Bankers of America (ICBA)
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Susan Gaffney Government Finance Officers Association (GFOA)
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Steven Corneli NRG Energy, Inc.
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Raymond Dorado The Bank of New York Mellon Corporation
John A. Kelley, Northern Trust Corporation; David C. Phelan, State Str…
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Robbie Boone Farm Credit Council
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Ernest C. Goodrich Deutsche Bank AG
Tina Tsui. View Comment Email: N/A
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Dennis Kelleher Better Markets, Inc.
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Tom Deutsch American Securitization Forum (ASF)
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Kyle B. Isakower American Petroleum Institute (API)
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Marcus Schueler Markit
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Richard M. Whiting The Financial Services Roundtable
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David T. McIndoe Working Group of Commercial Energy Firms
Mark W. Menezes; R. Michael Sweeney, Jr.; Alexander S. Holtan. View Co…
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Timothy L. Buzby Federal Agricultural Mortgage Corporation (Farmer Mac)
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Timothy W. Cameron Securities Industry and Financial Markets Association (SIFMA)
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Lisa M. Ledbetter Freddie Mac
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Scott C. Goebel Fidelity Management and Research Company
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Susan Ginsberg Independent Petroleum Association of America (IPAA)
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John M. Damgard Futures Industry Association (FIA)
Robert G. Pickel, International Swaps and Derivatives Association (ISD…
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Christine Cochran Commodity Markets Council (CMC)
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Mike Martinez Premier Valley Bank
Dave Wogan. View Comment Email: N/A
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Douglas M. Hodge Pacific Investment Management Company, LLC (PIMCO)
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Mike Martinez Premier Valley Bank
Michelle Cucchiara. View Comment Email: N/A
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Warren Davis Sutherland Asbill & Brennan, LLP
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Mike Martinez Premier Valley Bank
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Stephen H. McElhennon Fannie Mae
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