Search for: "Financial Industry Regulatory Authority, Inc." Results 161 - 180 of 3,168
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16 Jul 2023, 7:48 pm by The White Law Group
  The Financial Industry Regulatory Authority (FINRA) reportedly barred Luke Johnson on July 12, 2023, after the broker allegedly unsuitably invested nine clients in high-risk investments, including GPB Holdings private placements. [read post]
14 Jul 2023, 10:21 am by Zak Gowen
Legal and Regulatory Developments SPOTLIGHT: CFPB Takes Action Against Bank of America for Illegally Charging Junk Fees, Withholding Credit Card Rewards, and Opening Fake AccountsCFPB – July 11, 2023 Today, the Consumer Financial Protection Bureau (CFPB) ordered Bank of America to pay more than $100 million to customers for systematically double-dipping on fees imposed on customers with insufficient funds in their account, withholding reward bonuses explicitly promised to… [read post]
13 Jul 2023, 12:22 pm by The White Law Group
FINRA Accuses Eugene Kim (Gene Kim) of Broker Misconduct involving Private Placement Investment   The Financial Industry Regulatory Authority (FINRA), the broker-dealer regulator, reportedly filed a complaint against broker Eugene H. [read post]
11 Jul 2023, 11:19 am by The White Law Group
FINRA Bars Advisor David Geake after 25 Complaints   The Financial Industry Regulatory Authority (FINRA), the broker-dealer regulator, has reportedly barred financial advisor David Geake after alleged broker misconduct. [read post]
10 Jul 2023, 9:27 am by The White Law Group
Broker John Hoidas Suspended after 10 Customer Complaints The Financial Industry Regulatory Authority (FINRA) has reportedly suspended financial advisor John Hoidas for 18 months and fined him $40,000 after numerous customers alleged unsuitable investment recommendations. [read post]
7 Jul 2023, 12:53 pm by The White Law Group
FINRA Bars Advisor Helen Caldwell after Allegations of Outside Business Activities  The Financial Industry Regulatory Authority, the regulator who oversees brokers and brokerage firms, has reportedly barred financial advisor Helen Caldwell from the securities industry as of July 6, 2023. [read post]
FINRA Fines TD Ameritrade $500K for Making Omissions To Millions of Customers The Financial Industry Regulatory Authority (FINRA) announced that it has fined TD Ameritrade Clearing Inc. $500K for its failure to fully disclose information about callable securities (including preferred securities and exchange-traded notes) to millions of customers over a period of five years. [read post]
29 Jun 2023, 8:30 am by The White Law Group
FINRA Bars Advisor Randall Skrabonja after Allegations of Selling Away without Firm Approval     On June 26, 2023, the Financial Industry Regulatory Authority (FINRA), the self-regulator who oversees brokers and brokerage firms, reportedly barred Randall Skrabonja (CRD#: 1858245) from the securities industry. [read post]
20 Jun 2023, 8:17 am by The White Law Group
   On July 28, 2021, the Financial Industry Regulatory Authority (FINRA), the self-regulator who oversees brokers and brokerage firms, reportedly barred Holts (CRD # 5819398) from the securities industry, according to a Letter of Acceptance, Waiver and Consent. [read post]
20 Jun 2023, 7:26 am by Silver Law Group
FINRA Rule 8210 allows FINRA’s enforcement attorneys the authority to investigate matters under its regulatory purview. [read post]
17 Jun 2023, 2:03 am by Stoltmann Law
March 2, 2023 Practices: Asset Management The Financial Industry Regulatory Authority Inc. [read post]
17 Jun 2023, 12:31 am by Stoltmann Law
The Financial Industry Regulatory Authority Inc. said Tuesday that it had penalized Morgan Stanley $698,000 for several years of failing to supervise brokers’ sales of high-risk securities, including a Chinese telecom stock. [read post]
16 Jun 2023, 1:54 pm by Stoltmann Law
The Financial Industry Regulatory Authority Inc. on Thursday barred a financial advisor, Andrew Komarow, whose practice focused on special needs and autism, after he failed to cooperate in a Finra investigation in the wake of being accused by his firm last year of not using electronic transfers of funds properly. [read post]
13 Jun 2023, 11:42 am by Stoltmann Law
The Financial Industry Regulatory Authority Inc. last week fined Charles Schwab & Co. [read post]
13 Jun 2023, 9:40 am by Stoltmann Law
The Financial Industry Regulatory Authority Inc. last week filed with the Securities and Exchange Commission a new version [...] [read post]
12 Jun 2023, 4:15 am
Financial Industry Regulatory Authority, Inc., Defendant - and - United States Of America, Intervenor Defendants (Opinion, Unite... [read post]
12 Jun 2023, 4:15 am
Financial Industry Regulatory Authority, Inc., Defendant - and - United States Of America, Intervenor Defendants (Opinion, United States District Court for the District of Columbia, 23-CV-1506) DOJ RELEASES St. [read post]
12 Jun 2023, 4:15 am
Financial Industry Regulatory Authority, Inc., Defendant - and - United States Of America, Intervenor Defendants (Opinion, United States District Court for the District of Columbia, 23-CV-1506) DOJ RELEASES SEC RELEASES CFTC RELEASES FINRA RELEASES  SEC Sends F... [read post]
11 Jun 2023, 4:17 pm by Stoltmann Law
The Financial Industry Regulatory Authority Inc., a private organization empowered by Congress to regulate the securities industry, is structured and operated in a way that violates the US Constitution, two brokerage firms allege in a suit.FINRA “wields massive power and governmental authority over the securities broker-dealer industry and the financial markets,” Scottsdale Capital [...] [read post]