BLACKROCK FUNDS SERVICES GROUP, LLC
Lobbying for BLACKROCK FUNDS SERVICES GROUP LLC
Financial Stability Issues Outbound Investment Investment manager passivity issues Private Credit Regulation
Infrastructure Investment Financial Stability Issues Stewardship Investment manager passivity requirements Exchange Traded Products Rule 15c2-11 Rule 17a-7 (Fixed Income Cross Trading) Money Market Fund Reform U.S. Treasury Market Structure Proxy Voting and Process Digital Assets Municipal Finance Equity Market Structure Central Counterparty Risk Swaps Reporting Uncleared Margin Rules CFTC-SEC Harmonization Initiative SEC Safeguarding/Custody Rule Outbound Investment SEC Rule 3b-16, Reg ATS/Definition of Exchange SEC Treasury Clearing Rule SEC Dealer Definition Rule SEC Securities Loan Reporting Rule Private Credit Regulation AI Basel III/GSIB Capital Rules CFTC 1.25 Proposal Closed-end funds QPAM Common ownership ETF share class Stablecoin legislation/regulation Regulation and oversight of investment advisers Registered Fund Regulation Digital Asset Market Structure Tokenization Access to private investments SEC Fund of Fund Rules, including Acquired fund fees and expenses (AFFE) E-Delivery Corporate Reporting Form PF NBFI designation & leverage
403(b) investment parity QPAM Child Savings Accounts/ Early Wealth Building/ Trump Accounts Access Issues and investment parity Emergency Savings Accounts Retirement Tax Advantage Private assets in DC plans Collective investment trust regulation
Accredited Investor Status for IRA investments Taxation of digital assets Stock buybacks One Big Beautiful Bill Act (PL 119-21) implementation
Infrastructure Data Management Artificial Intelligence
Energy Infrastructure Investments