Blog
FINRA – Private Placement Enforcement Cases to Come
December 14, 2009
James Shorris, executive director of enforcement at the Financial Industry Regulatory Authority (FINRA) has been quoted by Investment News as saying that enforcement cases on multiple private placement deals can be expected to begin by next year. Private placement memorandum (PPM) deals, also known as Reg D offerings, have come under increased scrutiny after enjoying […]
Read More
House Kills Amendement Aimed at Expanding FINRA's Power
December 11, 2009
The House passed an amendment killing a proposal that would have given the Securities and Exchange Commission (SEC) the power to allow the Financial Industry Regulatory Authority (FINRA) to carry out oversight on investment advisers working at broker-dealer firms. The amendment, submitted by Republican Representative Spencer Bachus, R-Alabama, was part of the Investor Protection Act […]
Read More
New Provision in Investors Protection Act to Provide FINRA with Additional Power
October 29, 2009
In a recently added amendment to the Investor Protection Act (IPA) of 2009, the Securities and Exchange Commission (SEC) would have the power to allow the Financial Industry Regulatory Authority (FINRA) to carry out oversight on investment advisers working at broker-dealer firms. Though some agree with this move while others oppose, it came as a […]
Read More
Citigroup Fined by FINRA for Tax Evasion Strategies
October 13, 2009
The Financial Industry Regulatory Authority (FINRA) has fined Citigroup Global Markets Inc. $600,000 and censured the brokerage firm for tax evasion trading strategies found to be operating among its affiliates. The first scheme involved international clients of Citigroup circumventing US tax laws, allowing them to increase their respective returns. The second scheme was a complex […]
Read More
FINRA Supports Mandatory Arbitration Clause Removal
October 6, 2009
Richard Ketchum, Chairman and Chief Executive of FINRA, testified before the House Financial Services Committee today in support of allowing the SEC to ban mandatory arbitration clauses in securities contracts. It is common practice for broker dealers to stipulate a mandatory dispute resolution forum in the event of a broker/client dispute. Such clauses, normally found […]
Read More