SEC and CFTC Extend Form PF Compliance Date to Oct. 1, 2026

SEC and CFTC Extend Form PF Compliance Date to Oct. 1, 2026

The Securities and Exchange Commission and U.S. Commodity Futures Trading Commission each voted to further extend the date for investment advisers to comply with amendments to Form PF, the confidential reporting form used by certain private fund advisers…

SEC and CFTC Extend Form PF Compliance Date

The U.S. Securities and Exchange Commission (SEC) and the Commodity Futures Trading Commission (CFTC) have voted to extend the compliance date for investment advisers to report under revised amendments to Form PF, a confidential reporting form used by private fund advisers.

The extension gives affected entities an extra year to come into compliance with new regulations, which aim to enhance transparency and oversight of private funds. The move is seen as a response to industry concerns over the complexity and timing of implementing the changes.

What it Means

The revised Form PF requires private fund advisers to report additional information about their operations, including details on leverage, counterparty exposure, and liquidity management. This increased transparency will allow regulators to better monitor systemic risk and ensure compliance with existing regulations.
  • The extension applies to all registered investment advisers that manage private funds.
  • The revised Form PF aims to improve the quality of data collected by regulators, enabling more effective oversight and risk assessment.

Risk Assessment

**Risk Level:** High **Credibility:** High

Investors should be aware that changes in regulatory reporting requirements can affect the operations and transparency of private funds. This may impact investor confidence and potentially influence fund performance.

Staying Ready

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Risk Assessment

Risk level: high

Investor note: Investors should be aware that changes in regulatory reporting requirements can affect the operations and transparency of private funds.

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