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27 Nov 2017, 1:09 am by Etelka Bogardi and Nicholas Wilson
The circular focuses on internal controls and compliance and aims to provide the basis for unified regulatory standards for the financial industry. [read post]
26 Nov 2017, 8:20 am by Sabrina I. Pacifici
The agency’s creation was also largely opposed by the banking industry, which sought to prevent Mr. [read post]
23 Nov 2017, 7:15 am by Simon Lovegrove
A number of Member States are leading the way, having established formal public-private partnerships or industry associations for cybersecurity. [read post]
22 Nov 2017, 12:21 pm by Renae Lloyd
The Financial Industry Regulatory Authority also recently put into place a new rule, known as 15-02, that makes pricing of illiquid securities like nontraded REITs easier to understand for investors. [read post]
22 Nov 2017, 10:38 am by Renae Lloyd
Free Consultation The Financial Industry Regulatory Authority (FINRA) provides an arbitration forum for investors to resolve disputes with their brokerage firm. [read post]
22 Nov 2017, 8:14 am
Today's BrokeAndBroker.com Blog considers a recent regulatory settlement imposed upon a former stockbroker by the Financial Industry Regulatory Authority. [read post]
22 Nov 2017, 7:42 am by Christopher J. Gray
The Financial Industry Regulatory Authority (“FINRA”) entered into a Letter of Acceptance, Waiver and Consent (“AWC”) with First Allied Securities, Inc. [read post]
21 Nov 2017, 9:55 am by Darlene Pasieczny
On November 8, 2017, the Financial Industry Regulatory Authority (FINRA) announced that a broker named Hank Mark Werner of upstate New York had been barred from the securities industry. [read post]
21 Nov 2017, 6:18 am
 (Pix © Larry Catá Backer 2017)In October 2017 Professor Knox, UN Special Rapporteur on human rights and the environment, circulated a Draft Guidelines on Human Rights and the Environment for which he is soliciting views (available here in English, French, Spanish). [read post]
20 Nov 2017, 12:08 pm by Renae Lloyd
FINRA Censures First Allied Securities for Mutual Fund Sales charge waivers  According to the Financial Industry Regulatory Authority, First Allied Securities, Inc. [read post]
20 Nov 2017, 7:34 am
., often criticizes the Financial Industry Regulatory Authority for what he calls a lack of "content and context" in its various published arbitration and regulatory documents. [read post]
17 Nov 2017, 10:12 am by Renae Lloyd
Hoffmann for Reportedly Refusing to Testify According to the Financial Industry Regulatory Authority, Robert H. [read post]
16 Nov 2017, 9:30 pm by Sarah Madigan
Noreika, who has strong banking industry ties. [read post]
16 Nov 2017, 3:48 pm by Michael J. Giarrusso
As recently reported, the Financial Industry Regulatory Authority (“FINRA”) barred broker John Phillip Correnti (CRD# 5319471) in light of his failure to provide testimony and documents in connection with an investigation into potential violations of applicable securities industry rules. [read post]
16 Nov 2017, 1:05 pm
All of which makes for some interesting reading and raises some provocative questions.Case In PointFor the purpose of proposing a settlement of rule violations alleged by the Financial Industry Regulatory Authority ("FINRA"), without admitting or denying the findings, prior to a regulatory hearing, and without an adjudication of any issue, Bufus Outlaw, Jr. submitted a Letter of Acceptance, Waiver and Consent ("AWC"), which FINRA… [read post]
16 Nov 2017, 11:00 am by Karen Young
SAGIA (Saudi Arabian General Investment Authority), formed in 2000, and given more legal authority in 2006, is the regulator of these cities. [read post]
16 Nov 2017, 10:39 am by Renae Lloyd
Hornor Townsend & Kent – Failure to Supervise Variable Annuity Share Class Recommendations According to the Financial Industry Regulatory Authority, Hornor Townsend & Kent in Horsham, PA has reportedly been censured and fined $275,000 for supervisory issues. [read post]
16 Nov 2017, 10:33 am by Michael J. Giarrusso
As part of its ongoing enforcement focus on variable annuity (“VA”) sales practices, the Financial Industry Regulatory Authority (“FINRA”) recently censured and fined Hornor, Townsend & Kent, Inc. [read post]
15 Nov 2017, 6:22 pm by Adam Weinstein
The investment fraud attorneys with Gana LLP are investigating customer complaints filed with The Financial Industry Regulatory Authority (FINRA) against Joseph Sterling (Sterling) currently associated with Geneos Wealth Management, Inc. [read post]
15 Nov 2017, 6:20 pm by Adam Weinstein
  According to records kept by The Financial Industry Regulatory Authority (FINRA) Rodriguez has been accused by customers of unsuitable investments among other claims. [read post]