Market Risk Advisory Committee

The Market Risk Advisory Committee (MRAC) advises the Commission on matters relating to evolving market structures and movement of risk across clearinghouses, exchanges, intermediaries, market makers and end-users. It examines systemic issues that threaten the stability of the derivatives markets and other financial markets, and makes recommendations on how to improve market structure and mitigate risk. Members include representatives of clearinghouses, exchanges, intermediaries, market makers, end-users, academia, and regulators.

Commissioner Kristin N. Johnson sponsors the MRAC. Tamika Bent, Chief Counsel to Commissioner Johnson, serves as the Designated Federal Officer and Peter Janowski, Interim Senior Counsel, Division of Enforcement, serves as the Alternate Designated Federal Officer.

Committee Charter (PDF)

Central Counterparty (CCP) Risk and Governance
Name Entity Representing Title
Alessandro Cocco (Co-Chair) Regular Government Employee Senior Policy Advisor
Ruth Arnould Bank of America Managing Director and Associate General Counsel
Dr. Richard Berner   Clinical Professor of Management Practice in the Department of Finance and Co-Director of the Stern Volatility and Risk Institute
Lee Betsill CME Group Managing Director and Chief Risk Officer
Juan Blackwell Ontario Teachers’ Pension Plan Head of Credit & Counterparty Risk Management
Alicia Crighton Futures Industry Association Global Co-Head of Futures and Head of OTC and Prime Clearing Businesses, Goldman Sachs
Chris Edmonds (Co-Chair) Intercontinental Exchange, Inc. Chief Development Officer
Joseph Garelick BlackRock Vice President of Risk & Quantitative Analysis Group
Reginald Griffith Louis Dreyfus Company Global Head of Regulatory Compliance
Graham Harper Futures Industry Association – Principal Traders Group Head of Public Policy and Market Structure at DRW
David Horner London Stock Exchange Group Chief Risk Officer
Demetri Karousos Nodal Exchange, LLC President and COO
Tim McHenry National Futures Association Senior Vice President
Rajalakshmi Ramanath J.P. Morgan Executive Director, CCP Credit and Risk Strategy
Paolo Saguato George Mason University Associate Professor of Law, Antonin Scalia Law School
Dmitrij Senko Eurex Clearing AG Chief Risk Officer
Climate-Related Market Risk

Membership for this Subcommittee is currently under review.

Interest Rate Benchmark Reform
Member Primary Representative Position Title
American Financial Exchange, LLC Dr. Richard L. Sandor Chairman and Chief Executive Officer
AQR Capital Management Richard Grant Global Head of Regulatory and Government Affairs
Barclays Tyler Wellensiek Managing Director and Head of Official and Financial Institutions Rates Sales
BlackRock Jack Hattem Deputy CIO, BlackRock Obsidian Fund
BNP Paribas Simon Winn Managing Director - Head of America's IBOR TransitionOffice
Capital One Thomas Feil Senior Vice President and Treasurer
Chatham Financial Robert Mangrelli Director, Global Real Estate Hedging and Capital Markets
Citadel Stephen Berger Managing Director and Global Head of Government & Regulatory Policy
Citigroup Biswarup Chatterjee Managing Director, Global Head of Innovation, Markets & Securities Services
CME Group Agha Mirza Managing Director and Global Head of Interest Rate Products
CoBank ACB James Shanahan Vice President - Financial Regulatory Compliance
Deborah North   Partner, Allen & Overy LLP
Federal Home Loan Bank of Atlanta Annette Hunter Senior Vice President and Director of Accounting Operations
Federal Home Loan Bank of New York Rei Shinozuka Director of Capital Markets Research
Federal Reserve Bank of New York Nathanial Wuerffel Senior Vice President
Federal Home Loan Mortgage Corporation ("Freddie Mac") Ameez Nanjee Vice President, Asset Liability Management
Goldman Sachs Guillaume Helie Head of Client Structuring & Solutions for Interest Rates
HSBC Neil Middleton US CRO, GBM and CMB and CRO, US Swap Dealer
ICE Benchmark Administration Timothy J. Bowler President
International Swaps and Derivatives Association, Inc. Ann Battle Assitant General Counsel, Head of Benchmark Reform
JP Morgan Marnie Rosenberg Managing Director and Global Head of Clearinghouse Risk & Strategy
LCH Limited David Horner Chief Risk Officer
MetLife Joseph Demetrick Managing Director
Morgan Stanley Thomas Wipf* Vice Chairman, Institutional Securities
Nomura Global Financial Products, Inc. Angie Karna Managing Director, Legal Department
Pacific nvestment Management Company, LLC ("PIMCO") Nadia Zakir Executive Vice President and Chief Compliance Officer & Global Head of Compliance
Prudential Chris McAlister Managing Director, Global Head of Derivatives Trading
The Depository Trust & Clearing Corporation Gregg Rapaport Managing Director, Repository and Derivatives Services
TriOptima Vikash Rughani Business Manager
Tradeweb Scott Zucker Chief Administrative Officer
Vanguard Dr. Sam Priyadarshi Principal, Global Head of Portfolio Risk and Derivatives, Fixed Income Group
Virtu Financial Craig Messinger Vice Chairman
Wells Fargo Eric S. Lashner Senior Counsel, Derivatives and FX Section

* - Subcommittee Chairman

Future of Finance

Membership for this Subcommittee is currently under review.

Market Structure
Name Entity Representing Title
Ann Battle (Co-Chair) International Swaps and Derivatives Association Senior Counsel, Market Transitions & Head of Benchmark Reform
Stephen Berger Citadel, LLC Managing Director, Global Head of Government & Regulatory Policy
Dr. Richard Berner   Clinical Professor of Management Practice in the Department of Finance and Co-Director of the Stern Volatility and Risk Institute
David Bowman Board of Governors of the Federal Reserve System Senior Associate Director
Biswarup Chatterjee (Co-Chair) Citigroup Managing Director and Head of Innovation for the Global Markets Division
Neil Constable Fidelity Head of Quantitative Research and Investments
Tim Cuddihy Depository Trust and Clearing Corporation Managing Director and Group Chief Risk Officer
Edward Dasso National Futures Association Senior Vice President-Market Regulation
Reginald Griffith Louis Dreyfus Company Global Head of Regulatory Compliance
Jennifer Han Managed Funds Association Chief Counsel and Head of Global Regulatory Affairs
Graham Harper Futures Industry Association Principal Traders Group Head of Public Policy and Market Structure at DRW
David Horner London Stock Exchange Group Chief Risk Officer
Elisabeth Kirby Tradeweb Markets Managing Director and Head of Market Structure
Derek Kleinbauer Bloomberg SEF LLC President
Ernie W. Kohnke Commodity Markets Council General Counsel, Vitol
Andrew Nash Managing Director and Head of Regulatory Affairs Morgan Stanley
Ashwini Panse Intercontinental Exchange, Inc. Head of Risk Oversight for ICE Clear Netherlands, and Chief Risk Officer for the North American Clearinghouses
Marnie Rosenberg Managing Director, Global Head of Central Counterparty Credit Risk and Strategy JPMorgan Chase & Co.
Guy Rowcliffe OSTTRA Co-CEO and Chief Commercial Officer
Tyson Slocum Public Citizen Director, Public Citizen Energy Program
Nathaniel Wuerffel The Bank of New York Mellon Head of Market Structure
Huan Zhang Nodal Clear, LLC Chief Risk Officer

Meetings

Date Meeting Details

Meeting to discuss the statutory and regulatory process for the listing of new and novel products on CFTC-regulated designated contract markets and swap execution facilities through self-certification. Full details, including minutes and agenda, here.

Meeting to discuss how the CFTC’s Division of Clearing and Risk conducts risk surveillance of central counterparties (CCPs); how to better inform the CCP regulatory framework through academic research and economic analysis, and advise the Commission of the potential effects of Brexit on financial markets. Full details, including minutes and agenda, here.

Meeting to discuss the staff’s response to the CRM Subcommittee’s recommendation on how CCPs can further enhance their efforts in preparing for the default of a significant clearing member, cybersecurity trends, and how well derivatives markets are currently functioning. Full details, including minutes and agenda, here.

Meeting to discuss CCP Risk Management Subcommittee recommendation on how CCPs can further enhance their efforts in preparing for the default of a significant clearing member and the Bank of England’s coordinated CCP default fire drill. Full details, including minutes and agenda, here.

Meeting to discuss CCP Risk Management Subcommittee’s draft recommendations on how CCPs can better coordinate their efforts in preparing for the default of a significant clearing member and the role of the Federal Deposit Insurance Corporation and CFTC in the resolution of both banks and CCPs. Full details, including minutes and agenda, here.

Meeting to discuss how well the derivatives markets are currently functioning, including the impact and implications of the evolving structure of these markets on the movement of risk across market participants. Full details, including minutes and agenda, here.

Meeting to discuss the CCP Risk Management Subcommittee’s recommendations on how CCPs can better coordinate their efforts in preparing for the default of a significant clearing member. Full details, including minutes and agenda, here.