FINRA
Get the latest news and insights on the Financial Industry Regulatory Authority's rules, enforcement actions and related activities.
FINRA Releases FAQ on Restricted Firm Rule
By Melanie WaddellThe first "early indicator calculations" of firms that qualify as restricted will be available in early June, FINRA said.
March 28, 2022
UBS Must Pay Clients $1.2MSome other disputes over its yield options strategy, though, were decided in its favor over the past few years.
March 28, 2022
Ex-Broker Sentenced to Over 4 Years in Prison for Elder FraudThe ex-rep, who worked for Morgan Stanley before the fraud took place, also must pay over $968,000 to the victims.
March 23, 2022
BD to Pay Over $400K for Failing to Supervise RepsFINRA has sanctioned an independent broker-dealer over sales of risky alternative mutual fund to clients.
March 17, 2022
FINRA on Supervision: Not a Boss, Not Your Problem (Even If You're a CCO)CCOs are not automatically supervisors and subject to enforcement action, the regulator says.
March 17, 2022
Rep Fired From Merrill After Smoothie Incident Has a New GigJames Iannazzo is now a registered rep at Aegis Capital, according to FINRA's BrokerCheck.
March 16, 2022
Ex-LPL, Wells Rep Stole $500K, Gambled With Client Money, Prosecutor SaysIf convicted of stealing over $500,000 from clients, the barred broker faces a maximum of 65 years in prison.
March 16, 2022
FINRA Plans New Rule to Accelerate Arb Cases for Those Who Are Ill, Over 75A new rule to the Codes of Arbitration Procedure would allow any party to request accelerated processing of an arbitration proceeding under certain criteria.