Financial Industry Regulatory Authority's October 2016 disciplinary action report for the financial industry and brokers.
FINRA Has Its Eye on These Financial Products
Last month, the Financial Industry Regulatory Authority (FINRA) published its Regulatory and Examinations Priorities Letter. While the express purpose of this letter is to advise stock brokers and compliance officers about the focus of the accreditation exams many of them will be taking in 2015, the letter also indirectly puts investors and securities professionals on notice.