Tagged with "disciplinary action"

FINRA Discipline: FINRA Rule 9269

Posted on January 31st, 2017 at 9:16 AM
FINRA Discipline: FINRA Rule 9269

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

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FINRA Discipline: FINRA Rule 9233

Posted on January 5th, 2017 at 9:36 AM
FINRA Discipline: FINRA Rule 9233

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

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LATEST NEWS AND ARTICLES

December 3, 2021
FINRA Issues Fine to Small Advisory Firm Over Material Misrepresentations

The Financial Industry Regulatory Authority has censured and issued a $250,000 fine to a Los Angeles-based advisory firm, WestPark Capital Inc., for making material misrepresentations pertaining to promissory notes offered by its parent company.

December 2, 2021
FINRA Imposes Suspension on Ohio-Based Advisor Over Outside Investments

The Financial Industry Regulatory Authority (FINRA) has issued a one-year suspension and $12,500 fine to an Ohio-based advisor, William LeBoeuf, who worked at Merrill Lynch and Cetera Advisor Networks when the violations occurred.

December 1, 2021
SEC Charges Former Illinois Edward Jones Advisor With Fraud

The Securities and Exchange Commission (SEC) has charged a former Illinois-based investment advisor, Ronald Molo, with defrauding three clients out of at least $800,000.