logo_web_wht
(888) 637-5510

Tag: FINRA fine

Blog, Securities Fraud Articles

FINRA Fines For Mutual Fund Sales Practices

In or about 2009, FINRA fined 25 broker-dealers a total of $2,145,000 for failures related to their completion of FINRA’s (then...

Read More

Blog, Securities Fraud Articles

Janney Montgomery Scott Regulatory History and Sales Practices

Established in 1832, Janney Montgomery Scott is a Philadelphia, Pennsylvania based FINRA broker-dealer.  Janney Montgomery Scott has from...

Read More

Blog, Securities Fraud Articles

Information Regarding Waddell & Reed’s Sales Practices

Waddell & Reed’s sales practices have been the subject of regulatory inquiry on several occasions. Back in 2005, FINRA resolved its...

Read More

Blog, Securities Fraud Articles

FINRA Fines Edward Jones For Supervisory Failures

FINRA recently announced that it has fined Edward D. Jones & Co., L.P. of St. Louis $900,000 for its failure to timely deliver official...

Read More

Blog, Securities Fraud Articles

FINRA Fines Deutsche Bank Securities For Misrepresentation

FINRA recently announced that it has fined Deutsche Bank Securities, Inc. $7.5m for “negligently misrepresenting” delinquency...

Read More

Blog, Securities Fraud Articles

FINRA Fines Atlanta based broker-dealer SunTrust Investment Services

FINRA recently today that it has ordered SunTrust Investment Services, Inc. of Atlanta, GA, to pay $1.44 million to resolve charges related...

Read More