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The increased scrutiny focuses on the algorithms at the heart of automated investment decisions.
March 13 -
Experts say these loans deserve a second look, partly because of a series of federal reforms in recent years.
March 13 -
Michael Solomon oversaw a staff of 350 people at the regulator, according to his new employer.
February 28 -
Not knowing a FINRA rule can’t save an advisor from statutory disqualification.
February 26 -
The IBD is one of three dozen firms the regulator has accused of failing to provide sales-charge waivers to eligible retirement plans and charities since 2015.
February 21 -
Clients have received a combined $3.7 million in settlements involving two barred former reps of the IBD set to be acquired by Atria Wealth Solutions.
February 12 -
Two advisors who joined Alex. Brown after the Deutsche Bank acquisition in 2016 seek to void the FINRA panel's arbitration decision in a court challenge.
February 7 -
A new FINRA initiative to root out breaches of supervisory rules on 529 plans provoked criticism from the IBD advocacy group.
January 31 -
By allowing disciplinary actions to be expunged from certificants’ records, the board is sabotaging its own efforts to raise industry standards.
January 24 -
Royal Alliance must pay more than $2.5 million to one ex-client while dealing with charges against the firm and a former rep by William Galvin’s office.
January 24