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The SEC released the revised Form D pursuant to the amendments to Securities Act Rule 506 ("Exemption for Limited Offers and Sales without Regard to Dollar Amount of Offering") . The new form requires the filing of a closing amendment to Form D after the termination of any offering. Additionally, the new form requires an issuer to include additional information about offerings conducted in reliance on Regulation D. See also: SEC Publishes Final Rule Amendments to Rule 506 and Rule 144A in Federal Register (July 24, 2013) The SEC Approves JOBS Act Rules (with Delta Strategy Group Meeting

SIFMA submitted comments to MSRB in response to MSRB Notice 2013-19, in which the MSRB requested comments on proposed rule changes that would set forth in a single rule the requirements and process through which brokers, dealers, municipal securities dealers, and municipal advisers register with the MSRB. In the letter, SIFMA expressed support for MSRB's efforts to make the registration process more concise, through and including by consolidating and clarifying rules, streamlining the process, and reducing compliance burdens on regulated entities. However, SIFMA also suggested technical

The Asset Management Group "AMG" and SIFMA submitted a request to the CFTC regarding swap execution facility ("SEF") final rules and the made-available-to-trade ("MAT") process, most significantly asking for a delay in the date by which SEFs will have to register. The AMG and SIFMA made three primary requests to the CFTC. First, they requested that the CFTC provide an extension to the deadline for registration and compliance with the new SEF final rules which would delay the deadline until at least April 1, 2014. Secondly, they requested that the CFTC change the MAT process so that a cleared

The Managed Funds Association ("MFA") President and CEO, Richard Baker, issued a statement that "MFA is pleased" that hedge funds meeting the conditions of amended Regulation D can now engage in general advertising. See: MFA Statement; Press Release. See also: The SEC Approves JOBS Act Rules (with Delta Strategy Group Meeting Summary) (with Lofchie Comment) (July 10, 2013) Cadwalader C&F Memo: JOBS Act Rules on General Sales and General Advertising (with Lofchie Comment) (August 13, 2013) NASAA Issues a Statement on the JOBS Act and on the JOBS Act Rules (July 10, 2013).

FINRA issued a regulatory notice regarding the SEC's approval of amendments (to FINRA Rule 12403 of the Code of Arbitration Procedure for Customer Disputes to simplify the arbitration panel selection process in cases with three arbitrators), which will become effective September 30. See: FINRA Regulatory Notice 13-30. See also: SEC Approves FINRA Rule Change Amending Code of Arbitration Procedure (with Lofchie Comment) (September 19, 2013); FINRA-Proposed Rule Change to Amend Rule 12403 of the Code of Arbitration Procedure for Customer Disputes to Simplify Arbitrator Selection in Cases with