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United States: Asset Management Spotlight (May 2026 – June 2026)

Дата публикации: 08-07-2026 00:00:00



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In brief

From May to June 2026, US regulators introduced a series of rulemakings, proposals, and policy signals reshaping the regulatory landscape for asset managers, with a focus on simplifying compliance requirements while reinforcing core investor protection principles.

The US Securities and Exchange Commission (SEC) and Commodity Futures Trading Commission (CFTC) advanced multiple initiatives to streamline regulatory frameworks, including proposed amendments to Form PF and the adoption of joint data standards and efforts to harmonize derivatives reporting and definitions. These measures aim to reduce operational complexity and improve data consistency across regimes. At the same time, broader rulemaking — such as the SEC’s proposed overhaul of the registered offering framework and updated “qualified client” thresholds — signals continued efforts to facilitate capital formation and modernize market access.

Regulators also emphasized increased flexibility and clarity in specific areas, including guidance on pooled employer plans, cooperation in enforcement matters, cross-border substituted compliance for swap dealers, and evolving approaches to crypto assets and climate-related disclosures. In derivatives markets, the CFTC continued to advance benchmark reform and modernization initiatives, including transitions to risk-free rates and updated frameworks for event-based contracts.

These developments indicate a regulatory environment that is increasingly focused on efficiency, clarity, and international coordination, while maintaining targeted oversight of key risk areas. For asset managers, this evolving landscape presents both opportunities to expand product offerings and operational efficiencies, as well as ongoing requirements to adapt compliance systems, reporting infrastructure, and governance frameworks.

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