Based in Washington, D.C., the CFTC maintains regional offices in Chicago, New York and Kansas City, Missouri. The Commission consists of five
Commissioners appointed by the President of the United States to serve staggered five-year terms. The commissioners may continue to serve until their successor is confirmed, but not beyond the expiration of the next session of Congress subsequent to the expiration their term. The President, with the consent of the
United States Senate, designates one of the commissioners to serve as chairman. No more than three commissioners at any one time may be from the same political party.
Current commissioners The current CFTC commissioners :
Major operating units Division of Enforcement The Division of Enforcement (DOE) investigates and prosecutes alleged violations of the Commodity Exchange Act and CFTC regulations. Violations may involve commodity futures or option trading on domestic commodity exchanges, or the improper marketing of commodity investments. The Division may, at the direction of the commission, file complaints before the agency's administrative law judges or in the
U.S. District Courts. Alleged criminal violations of the Commodity Exchange Act or violations of other Federal laws which involve commodity
futures trading may be referred to the Justice Department for prosecution. The Division also provides expert help and technical assistance with case development and trials to U.S. Attorneys' Offices, other Federal and state regulators, and international authorities.
Division of Market Oversight The Division of Market Oversight (DMO) has regulatory responsibility for initial recognition and continuing oversight of trade execution facilities, including new registered futures exchanges, swap execution facilities, and swap data repositories. The regulatory functions of the Division include, among other things, rule enforcement reviews, reviews of new products and product- and market-related rule amendments, and associated product and market-related studies. The Division was previously responsible for market and trade practice surveillance.
Market Participants Division Formerly known as the Division of Swap Dealer and Intermediary Oversight, the Market Participants Division (MPD) primarily oversees derivatives market intermediaries, including commodity pool operators, commodity trading advisors, futures commission merchants, introducing brokers, major swap participants, retail foreign exchange dealers, and swap dealers, as well as designated self-regulatory organizations. MPD conducts the registration, compliance, and business conduct standards of intermediaries, swap dealers and major swap participants. The division also oversees the agency's customer education initiatives.
Division of Clearing and Risk The Division of Clearing and Risk (DCR) oversees derivatives clearing organizations (DCOs) and other market participants in the clearing process. These include futures commission merchants, swap dealers, major swap participants, and large traders. DCR monitors the clearing of futures, options on futures, and swaps by DCOs, assesses DCO compliance with Commission regulations, and conducts risk assessment and surveillance. DCR also makes recommendations on DCO applications and eligibility, rule submissions, and which types of swaps should be cleared. As of 2019, Clark Hutchison serves as Director of the Division of Clearing and Risk.
List of past commissioners This list is sourced from the CFTCs website. •
Caroline Pham (term of Service 04/14/22 – 12/22/25) •
Kristin N. Johnson (term of Service 03/20/22 – 09/03/25) •
Christy Goldsmith Romero (term of Service 03/20/22 – 05/31/25) •
Summer K. Mersinger (term of Service 03/20/22 – 05/31/25) •
Rostin Behnam (Acting Chairman 01/21/21 – 01/04/22) (Chairman 01/04/22 – 01/20/25) (term of Service 09/06/17 – 02/07/25) •
Dawn DeBerry Stump (term of Service 09/05/18 - 04/14/22) •
Dan M. Berkovitz (term of Service 09/07/18 – 10/15/21) •
Brian D. Quintenz (term of Service 08/15/17 – 08/31/21) •
Heath Tarbert (Chairman 07/15/2019 – 01/21/2021) (term of Service 07/15/2019 – 03/05/2021) •
J. Christopher Giancarlo (Acting Chairman 01/20/17 – 08/03/17) (Chairman 08/03/17 – 04/13/19) (term of Service 06/06/14 – 06/05/19) •
Sharon Y. Bowen (term of Service 06/09/14 – 09/29/17) •
Timothy Massad (term of Service 6/5/14 – 02/17/17) •
Mark P. Wetjen (term of Service 10/25/11 – 08/28/15) •
Scott D. O'Malia (term of Service 10/19/09 – 08/08/14) •
Bart Chilton (term of Service 08/08/07 – 03/21/14) •
Gary Gensler (Chairman 05/26/09 – 01/3/14) (term of Service 05/26/09 – 01/3/14) •
Jill E. Sommers (term of Service 08/08/07 – 07/08/13) •
Michael V. Dunn (Acting Chairman 1/20/09 – 5/25/09) (term of Service 11/21/04 – 10/24/11) •
Walter L. Lukken (Acting Chairman 6/27/07- 01/20/09) (term of Service 08/07/02 – 07/10/09) •
Reuben Jeffery, III (chairman 07/11/05 – 6/27/07) (term of Service 07/11/05 – 06/27/07) •
Frederick W. Hatfield (term of Service 12/06/04 – 12/31/06) •
Sharon Brown-Hruska (Acting Chairman 08/24/04 – 07/10/05) (term of Service 08/07/02 – 07/28/06) •
James E. Newsome (Acting Chairman 01/20/01 – 12/27/01) (chairman 12/27/01 – 07/23/04) (term of Service 08/10/98 – 07/23/04) •
Thomas J. Erickson (term of Service 06/21/99 – 12/01/02) •
Barbara P. Holum (Acting Chairwoman 12/22/93 – 10/07/94) (term of Service 11/28/93 – 12/09/03) •
David D. Spears (Acting Chairman 06/02/99 – 08/10/99) (term of Service 09/03/96 – 12/20/01) •
Brooksley E. Born (Chairwoman 08/26/96 – 06/01/99) •
John E. Tull, Jr. (Acting Chairman 01/27/96 – 08/25/96) (term of Service 11/24/93 – 02/27/99) •
Joseph B. Dial (term of Service 06/20/91 – 11/13/97) •
Mary L. Schapiro (Chairwoman 10/13/94 – 01/26/96) (term of Service 10/13/94 – 01/26/96) •
Sheila C. Bair (Acting Chairwoman 08/22/93 – 12/21/93) (term of Service 05/02/91 – 06/16/95) •
William P. Albrecht (Acting Chairman 01/22/93 – 08/20/93) (term of Service 11/22/88 – 08/20/93) •
Wendy L. Gramm (term of Service 02/22/88 – 01/22/93) •
Fowler C. West (term of Service 10/06/82 – 01/20/93) •
Kalo A. Hineman (Acting Chairman 07/27/87 – 02/22/83) (term of Service 01/12/82 – 06/19/91) •
Robert R. Davis (terms of Service 10/03/84 – 04/30/90) •
William Rainer (term of Service 08/11/99 – 01/19/01) •
William E. Seale (term of Service 11/16/83 – 09/01/88) •
Susan M. Philips (Chairwoman 11/17/83 – 07/24/87) (Acting Chairwoman 05/28/83 – 11/16/83) (term of Service 11/16/81 – 07/24/87) •
Philip McBride Johnson (Chairman 6/8/81 – 5/01/83) (term of Service 06/06/81 – 05/01/83) •
James M. Stone (Chairman 05/04/79 – 06/08/81) (term of Service 05/04/79 – 01/31/83) •
Read P. Dunn (term of Service 04/15/75 – 11/13/81) •
David G. Gartner (term of Service 05/19/78 – 10/05/82) •
Robert L. Martin (term of Service 06/20/75 – 08/31/81) •
Gary L. Seevers (Acting Chairman 12/06/78 – 05/03/79) (term of Service 04/15/75 – 06/01/79) •
Bill Bagley (term of Service 04/15/75 – 11/15/78) •
John V. Rainbolt (term of Service 04/15/75 – 05/18/78)
Notable events of past commissioners Roy Lavik served as the CFTC (Commodity Futures and Trading Commission) Inspector General from 1990 until 2023. On May 3, 2023, the Wall Street Journal Reports that Mr. Lavik was suspended by the CFTC as the Inspector General after an oversight body alleging "Substantial Misconduct". Complaints of misconduct go back as far as late 2018. Allegations include: • Divulging the identity of whistleblowers on multiple occasions • Misappropriating around $165,000 in funds for a hire that did little or no work • Violating agency security policies by allowing others to use his username and password to access sensitive systems ==Funding/budget==