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Industry Professionals  

Enforcement

  • Sanction Guidelines
  • Adjudication
  • Disciplinary Actions

Vigorous, fair and effective enforcement of federal securities laws and regulations is at the very heart of FINRA's mission. Federal law gives FINRA the authority to discipline securities firms and individuals in the securities industry who violate the rules.

 

Sanction Guidelines

Sanction Guidelines | Fines Policy

 

Adjudication

Office of Hearing Officers (OHO) | National Adjudicatory Council (NAC)

 

Disciplinary Actions

Monthly & Quarterly Disciplinary Actions | Disciplined Firms Under Taping Rule | 2003 Global Settlement

What's New

Current Disciplinary Actions

 

News Release

FINRA Fines MetLife Securities and Affiliates $1.2 Million for Email Supervision Failures

 

News Release

FINRA Bars California Broker for Insider Trading

 

News Release

Scottrade Fined $600,000 for Inadequate Anti-Money Laundering Program

 

News Release

FINRA Fines Citigroup $600,000 for Failing to Supervise Tax-Related Stock Transactions

 

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