Tagged with "Department of Market Regulation"

FINRA Discipline: FINRA Rule 9212- Complaint Issuance

Posted on December 2nd, 2016 at 12:34 PM
FINRA Discipline: FINRA Rule 9212- Complaint Issuance

This is the second of a series of posts to discuss the rules associated with the FINRA disciplinary process.

Read More »

FINRA Discipline: FINRA Rule 9211- Authorization of Complaint

Posted on November 29th, 2016 at 11:55 AM
FINRA Discipline: FINRA Rule 9211- Authorization of Complaint

This is the first of a series of posts to discuss the rules associated with the FINRA disciplinary process. 

Read More »

TESTIMONIALS

Previous
Next

Thank you so very much for your guidance, patience, and expertise.

Beth and Steve K.

LATEST NEWS AND ARTICLES

April 24, 2024
RIA Insurance Claims Skyrocket

A recent analysis by Golsan Scruggs reveals a staggering 231 percent increase in errors-and-omissions (E&O) liability claims among registered investment advisor (RIA)
insurers.

April 23, 2024
Surge Predicted in Regulation Best Interest Cases

According to a recent analysis, Reg BI-related actions quickly have ascended to the top five issues for FINRA, with fines totaling $6 million in 2023.

April 22, 2024
FINRA Fines Independent Broker-Dealers Over Cybersecurity Lapses

The Financial Industry Regulatory Authority (FINRA) has imposed fines and censured independent broker-dealers Osaic Wealth and Securities America for cybersecurity deficiencies that led to hackers accessing the private information of more than 32,000 customers.