Every investor in America relies on one thing: fair financial markets. To protect investors and ensure the market’s integrity, FINRA FINANCIAL INDUSTRY REGULATORY AUTHORITY is a not-for-profit organization that oversees U.S. broker-dealers. We work every day to ensure that everyone can participate in the market with confidence.
Investment professionals and firms are welcome to leverage and amplify investor education resources from FINRA and other trusted organizations through your own communications channels, such as newsletters, websites and social media.
While many of the most common scams—such as relationship scams and government impersonator scams—are carried out by unlicensed individuals and might not directly involve accounts held at investment firms, the losses can impact the overall wellbeing of customers, as well as the value of customer accounts.
On this page you'll find compliance resources on different issues affecting the securities industry. FINRA provides essential background information on each of these key topics, as well as the relevant rules, notices, guidance, news releases, and investor education content for each.Advertising RegulationAlgorithmic TradingAlternative Display Facility (ADF)Annual ReportsAnti-Money