The SEC has appointed two associate directors in its trading and markets division.
Brian Bussey has been named as associate director for derivatives policy and trading practices in the Division of Trading and Markets at the US Securities and Exchange Commission (SEC).
Bussey will be responsible for overseeing the implementation of the derivatives provisions of the Dodd-Frank Act and the administration of rules related to short-selling and market manipulation. He will also direct the division in
The week on Risk.net, July 14–20, 2017Receive this by email