FINRA Regulatory Notice 10-22
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April 9, 2013

Unified Fiduciary Standard Coming?

The White Law Group continues to follow the SEC discussions regarding the

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Fiduciary Duties of Broker Dealers & Investment Advisers, featured by top securities fraud attorneys, The White Law Group March 14, 2012

Fiduciary Duties of Broker Dealers & Investment Advisers

Dodd-Frank Wall Street Reform and Consumer Protection Act In the wake of the 2008

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