Case Studies

FINRA Enforcement Action against broker-dealer and its principal.

Representation of a broker-dealer firm and its principal and owner in an investigation and enforcement action brought by the Financial Services Regulatory Authority, involving alleged violations of the net capital, record-keeping and supervisory rules.

Successfully negotiated a settlement in which the principal was not named in the enforcement action and the firm, while sanctioned, was permitted to continue in business.

Print
This Page