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Notices

FINRA publishes Notices to provide firms with timely information on a variety of issues.  To obtain a Notice published prior to 1995, please contact FINRA MediaSource at (240) 386-4200.

Publication Date Title Description
Election Notice - 10/25/11
Notice of Nominee to Fill FINRA Board of Governors Large Firm Seat

The special meeting of large firms will take place on Thursday, January 12, 2012, at 4:30 p.m. Eastern Time at FINRA's Washington, DC, office at 1735 K Street, NW. Please see Election Notice 12/14/11 for details.

Regulatory Notice 11-48
FINRA Requests Comment on a Proposed New Rule Requiring Carrying/Clearing Member Firms to Maintain and Keep Current Certain Records in a Central Location
Comment Period Expires: December 9, 2011
Election Notice - 10/19/11
Notice of FINRA District Committee Election and Ballots
Election Notice - 10/19/11
Notice of Contested Election and Ballots for Small Firm NAC Member Seat
Election Notice - 10/19/11
Notice of FINRA Small Firm Advisory Board Election and Ballots
Regulatory Notice 11-47
Securities Industry/Regulatory Council on Continuing Education Issues Firm Element Advisory Update
Information Notice - 10/14/11
Continuing Education Planning
Regulatory Notice 11-46
FINRA to Require Electronic Submission of Annual Audit Reports
Effective Date: November 8, 2011, for all annual audit reports with a fiscal year end on or after September 30, 2011
Regulatory Notice 11-45
FINRA Revises the Series 7, 17, 37 and 38 Examination Programs
Implementation Date: November 7, 2011
Regulatory Notice 11-44
FINRA Requests Comment on Proposed Amendments to NASD Rule 2340 to Address Values of Unlisted Direct Participation Programs and Real Estate Investment Trusts in Customer Account Statements
Comment Period Expires: November 12, 2011
Trade Reporting Notice - 9/23/11
Trade Reporting Transactions in OTC Equity Securities and Restricted Equity Securities
Trade Reporting Notice - 9/23/11
FINRA Reminds Firms of Their Trade Reporting Obligations Relating to Customer Sales of Low-Value OTC Equity Securities
Regulatory Notice 11-43
FINRA Requests Comment on Proposed Amendments to Rule 5210 Regarding Publication of Indications of Interest
Comment Period Expires: October 21, 2011
Regulatory Notice 11-42
Operations Professional Qualification Examination, Examination Fee and Initial Rollout Period
Regulatory Notice 11-41
FINRA Provides Guidance on Prohibition Against Offering Favorable Research to Induce Investment Banking Business
Election Notice - 9/7/11
Nomination and Election Process to Fill FINRA District Committee Vacancies
Election Notice - 9/7/11
FINRA Small Firm Advisory Board Election
Regulatory Notice 11-40
SEC Approves Amendments Clarifying Certain Exceptions Under Trade Reporting Rules and Adopting Notice Requirement for Transactions That Are Part of an Unregistered Secondary Distribution
Effective Date: November 1, 2011
Regulatory Notice 11-39
Guidance on Social Networking Websites and Business Communications
Regulatory Notice 11-38
Application of the SEC's Financial Responsibility Rules in Response to the Downgrade of U. S. Long Term Credit Rating by Standard & Poor's
Regulatory Notice 11-37
Trading Pause Rule Expanded to All NMS Stocks
Effective Date: August 8, 2011
Election Notice - 8/5/11
FINRA Announces Nominees for Upcoming Vacancies on the National Adjudicatory Council
Regulatory Notice 11-36
Changes to Fees for Cancelling or Rescheduling a Qualification Examination or Regulatory Element Continuing Education Session

The contact for this Notice was updated on 3/20/12.

Regulatory Notice 11-35
FINRA Modifies the Process for Firms to Designate Their Allocation Methodology for Options Exercise Assignment Notices
Effective Date: August 8, 2011
Regulatory Notice 11-34
FINRA Reaffirms Its Guidance in NTM 00-02 on Soliciting Business in Foreign Jurisdictions and Withdraws NTM 98-91
Regulatory Notice 11-33
SEC Approves Operations Professional Registration Category and Consolidated FINRA Continuing Education Rule
Effective Date: October 17, 2011

The implementation schedule for non-Day-One Professionals described in this Notice was revised by SR-FINRA-2011-060. Further information on the revised implementation schedule is available in the Operations Professional FAQ.

Regulatory Notice 11-32
FINRA Provides Additional Guidance Regarding Reporting Requirements Under Rule 4530
Regulatory Notice 11-31
Interim Pilot Program on Margin Requirements for Credit Default Swaps
Effective Date: July 16, 2011

This Notice was updated 07/18/11 to reflect approval of the use of an additional margin methodology for purposes of FINRA Rule 4240.

Election Notice - 6/29/11
Notice of Annual Meeting of FINRA Firms and Proxy
Information Notice - 6/28/11
FINRA Surveys to Update the Series 6, 16, 24 and 26 Exams

The contact for this Notice was updated on 10/25/11.

Regulatory Notice 11-30
FINRA Revises the Treatment of Non-Margin Eligible Equity Securities and Delays the Effective Date
New Effective Date: October 3, 2011
Regulatory Notice 11-29
Frequently Asked Questions on Market Orders and Delayed Implementation Date for FINRA Rule 5131(b) and (d)(4)
Regulatory Notice 11-28
FINRA Requests Comment on Amendments to Schedule A of the FINRA By-Laws to Implement an Accounting Support Fee to Fund the Governmental Accounting Standards Board
Comment Period Expires: August 1, 2011
Regulatory Notice 11-27
SEC Approves Increase in the TAF Rate for Sales of Covered Equity Securities
Effective Date: July 1, 2011
Information Notice - 6/6/11
FINRA Encourages Firms to Make Reasonable Efforts to Assist Investment Advisers Seeking Information Pursuant to Rule 206(4)-5 Under the Investment Advisers Act of 1940
Trade Reporting Notice - 6/3/11
FINRA Reminds Firms of Their Trade Reporting Obligations and Announces New Submission Process for Form T
Effective Date: July 5, 2011
Regulatory Notice 11-26
SEC Approves Consolidated Financial Responsibility and Related Operational Rules
Effective Date: August 1, 2011
Regulatory Notice 11-25
New Implementation Date for and Additional Guidance on the Consolidated FINRA Rules Governing Know-Your-Customer and Suitability Obligations
Implementation Date: July 9, 2012
Regulatory Notice 11-24
SEC Approves Consolidated FINRA Customer Order Protection Rule
Effective Date: September 12, 2011
Regulatory Notice 11-24
SEC Approves Consolidated FINRA Customer Order Protection Rule
Effective Date: September 12, 2011
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