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  2. Financial Industry Regulatory Authority - Wikipedia

    en.wikipedia.org/wiki/Financial_Industry...

    The NASD was founded on September 3, 1936 as Investment Bankers Conference, Inc. [9] and, on August 7, 1939, was registered under the name National Association of Securities Dealers, Inc. [10] as a national securities association with the SEC under authority granted by the 1938 Maloney Act amendments to the Securities Exchange Act of 1934, [11] which allowed it to supervise the conduct of its ...

  3. This retiree accepted an investment broker’s invite for ...

    www.aol.com/finance/retiree-accepted-investment...

    FINRA also has a search tool called BrokerCheck where you can find out if any disciplinary action has been taken against an adviser; it also has a list of brokers who have been barred.

  4. Wells notice - Wikipedia

    en.wikipedia.org/wiki/Wells_notice

    Regulators are not legally required to provide a notice; however, it is the practice of the SEC and the Financial Industry Regulatory Authority (FINRA) to provide such notice. [3] In addition, 80% of people who were sent a Wells notice from 2011 to 2013 ended up facing charges for allegedly violating securities law. [4]

  5. Selling away - Wikipedia

    en.wikipedia.org/wiki/Selling_away

    Right or wrong, FINRA likely prevails with brokers and firms settling arbitration disputes and complaints according to FINRA's final decision, however, according to Nov. 2008 articles published online by Securities Industry News and Investment News, the U.S. Securities and Exchange Commission (SEC), in a highly unusual move, reversed FINRA in a recent selling away case appeal.

  6. SEC's in-house enforcement powers at risk in US Supreme Court ...

    www.aol.com/news/secs-house-enforcement-powers...

    The FINRA case - a constitutional challenge to its structure brought by Utah-based Alpine Securities Corp - is currently before another federal appellate court and eventually could come to the ...

  7. The Securities Arbitration Law Firm of Klayman & Toskes Continues to Investigate Claims On Behalf Of Investors Who Sustained Losses in Fannie Mae Preferred Stock BOCA RATON, Fla.--(BUSINESS WIRE ...

  8. Securities Investor Protection Corporation - Wikipedia

    en.wikipedia.org/wiki/Securities_Investor...

    The Securities Investor Protection Corporation (SIPC / ˈ s ɪ p ɪ k /) is a federally mandated, non-profit, member-funded, United States government corporation created under the Securities Investor Protection Act (SIPA) of 1970 [3] that mandates membership of most US-registered broker-dealers.

  9. List of securities examinations - Wikipedia

    en.wikipedia.org/wiki/List_of_securities...

    The following is a list of the U.S. Financial Industry Regulatory Authority (FINRA), NASAA, and National Futures Association (NFA) financial securities examinations. Most FINRA examinations are divided into two categories: Registered Representative and Registered Principal levels. An asterisk designates that there is no sponsorship requirement ...