Search Results for: Financial Industry Regulatory Authority

Monex Fined Over Securities Sales

January 2nd, 2015 (0)
Regulator Says Firm Allowed Unregistered Employees to Sell Securities Monex Securities Inc. must give up the $1.1 million it made by allowing unregistered foreign employees to sell securities on the firm’s behalf, the Financial Industry Regulatory Authority said. In ...

Fund board severs ties with Thibeault after arrest

December 31st, 2014 (0)
Alt fund manager accused of creating fictitious loans no longer has access to the GL Beyond Income Fund The small financial services empire of Daniel Thibeault, a well-known asset manager who was arrested earlier this month on charges of ...

FINRA Sanctions Monex Securities Inc. $1.3 Million for Failing to Register and Supervise Foreign Personnel

December 31st, 2014 (0)
Firm’s President Fined and Suspended The Financial Industry Regulatory Authority (FINRA) announced today that it has ordered Monex Securities Inc. to pay $1,100,000 in disgorgement of commissions, plus interest, obtained by unregistered foreign individuals who sold securities on the ...

FINRA Fines Pershing LLC $3 Million for Customer Protection Rule Violations and Supervisory Failures

December 30th, 2014 (0)
The Financial Industry Regulatory Authority (FINRA) announced today that it has censured and fined Pershing LLC $3 million for violating the Customer Protection Rule and for related supervisory failures. The Securities and Exchange Commission (SEC) rule creates requirements to ...

Barclays among 10 banks fined for abusing research to win deals

December 12th, 2014 (0)
TEN GLOBAL banks were fined a total of $43.5m (£27.7m) by US regulator Financial Industry Regulatory Authority (FINRA)  yesterday for their attempts to misuse analysts’ research to gain lucrative jobs on Toys R Us’ attempted stock market flotation in 2010. Analysts’ research ...

SEC and FINRA Warn Investors About Penny Stock Scams

October 31st, 2014 (0)
The Securities and Exchange Commission’s Office of Investor Education and Advocacy and the Financial Industry Regulatory Authority (FINRA) issued an alert warning investors that some penny stocks being aggressively promoted as great investment opportunities may in fact be stocks ...

After JPMorgan Cyberattack, fortification of Wall Street Banks is a must

October 22nd, 2014 (0)
Federal and state regulators are said to be discussing fortification of a critical area of cybersecurity: outside vendors, including law firms, accounting and marketing firms and even janitorial companies. This summer’s huge cyberattack on JPMorgan Chase and a dozen ...

Dark Pools need more transparent future as threats rise

September 18th, 2014 (0)
Off-exchange markets, accounting for more than 40 percent of dark-pool volume, have publicly disclosed rules of operation that were previously hidden. The private venues host 17 percent of trading in the $24 trillion U.S. stock market. They’re taking the ...

Wall Street watchdog to pick insider as arbitration head

September 12th, 2014 (0)
The Financial Industry Regulatory Authority has narrowed its search for a new head of its arbitration unit to two of its own long-time officials, according to a person familiar with the matter. FINRA, Wall Street’s industry-funded watchdog, will replace ...

Brokers Battle Deutsche Bank Over Selling In-House Products

September 9th, 2014 (0)
Since the market collapse of 2008, scrutiny has intensified on the way large banks and securities firms treat their brokerage customers, particularly when it comes to steering them into the firms’ own products. One possibility raised in the 2010 ...
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