Tag Archives: 13f-2

U.S. – SIFMA Short Selling SHO Reporting

On 5 June 2025, SIFMA issued letter urging short selling reporting extension. SIFMA issued letter to the SEC to request an extension of the compliance date for certain obligations of broker-dealers reporting to the Consolidated audit trail (CAT). Follows February 2025 SEC temporary exemption from short selling report. Document dated 5 June 2025, received from…
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U.S. – SEC Rule 13f-2 Short Selling Reporting

On 2 January 2025, the Securities and Exchange Commission's rule 13f-2 came into effect. Requires financial institutions to report short selling activity Identifies reporting and non-reporting issuers First report due on 14 February 2025.
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