SD
SAMANTHA DEZUR
BLACKROCK FUNDS SERVICES GROUP, LLC · Wilmington, DE · registered since 2024
Registered · LDAActive
At a glance
Registered since
2024
Senate LDA system
Clients
1
last 3 years
Filings
2
12 agencies contacted
Activity
filings by quarter
Works on
Specific issues
DOL fiduciary proposal 403(b) investment parity Secure 2.0 QPAM Child Savings Accounts Access Issues Emergency Savings Accounts Student Loan Matching Retirement Tax Advantage Social Security Solvency
Financial Stability Issues Stewardship Investment manager passivity requirements (13DG) Exchange Traded Products Sustainability Disclosure Rule 15c2-11 Money Market Fund Reform U.S. Treasury Market Structure Proxy Process Secure 2.0 Digital Assets Equity Market Structure Central Counter Party Risk Swap Block Sizes Uncleared Margin Relief SEC Outsourcing Proposal SEC Open-End Fund Liquidity Risk Management and Swing Pricing Proposal SEC Safeguarding/Custody Rule SEC Predictive Data Analytics Outbound Investment General briefings on compliance with applicable federal law SEC Rule 3b-16, Reg ATS/Definition of Exchange SEC Treasury Clearing Rule SEC Dealer Definition Rule Private Credit Regulation FERC NOI on Blanket Authorization CFTC RFI on AI Basel III/GSIB Capital Rules CFTC Proposed Guidance on Listing VCC Derivatives Investment manager passivity requirements (13DG) Closed-end funds DOL Fiduciary Rule QPAM Accredited Investor Status for IRA investments Fed/FDIC/OCC long-term debt proposal Common ownership
Repeal of 852b6 Accredited Investor Status for IRA investments
Financial Stability Issues Outbound Investment Investment manager passivity requirements (13DG)
Financial Stability Issues Stewardship Investment manager passivity requirements (13DG) Exchange Traded Products Sustainability Disclosure Rule 15c2-11 Money Market Fund Reform U.S. Treasury Market Structure Proxy Process Secure 2.0 Digital Assets Equity Market Structure Central Counter Party Risk Swap Block Sizes Uncleared Margin Relief SEC Outsourcing Proposal SEC Open-End Fund Liquidity Risk Management and Swing Pricing Proposal SEC Safeguarding/Custody Rule SEC Predictive Data Analytics Outbound Investment General briefings on compliance with applicable federal law SEC Rule 3b-16, Reg ATS/Definition of Exchange SEC Treasury Clearing Rule SEC Dealer Definition Rule Private Credit Regulation FERC NOI on Blanket Authorization CFTC RFI on AI Basel III/GSIB Capital Rules CFTC Proposed Guidance on Listing VCC Derivatives Investment manager passivity requirements (13DG) Closed-end funds Fiduciary DOL Fiduiciary Rule QPAM Accredited Investor Status for IRA investments