SR-FINRA-2009-050
Proposed Rule Change to Amend FINRA Rule 8312 (BrokerCheck Disclosure)
Financial Industry Regulatory Authority, Inc. (“FINRA”) is filing with the Securities and Exchange Commission (“SEC” or “Commission”) a proposed rule change to amend FINRA Rule 8312 (FINRA BrokerCheck Disclosure) to retain and make publicly available in BrokerCheck certain information about former associated persons of a member who were the subject of a final regulatory action as defined in Form U4 that has been reported to the Central Registration Depository (“CRD®” or “CRD System”) via a uniform registration form.
| Text of Proposed Rule Change | (PDF 58 KB) |
| Federal Register Notice | (PDF 61 KB) |
| Extension No. 1 | (PDF 20 KB) |
| Extension No. 2 | (PDF 24 KB) |
| Response to Comments |
(PDF 352 KB)
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| Extension No. 3 | (PDF 20 KB) |
| Extension No. 4 |
(PDF 24 KB)
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