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Industry News

Recent News for Handling customer accounts

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  1. FINRA Regulatory Notice 10-25
    FINRA Requests Comment on Proposed Registration Category, Qualification Examination and Continuing Education Requirements for Operations Professionals; Comment Period Expires: July 12, 2010
    Date posted: 5/26/2010
  2. FINRA Regulatory Notice 10-22
    Obligation of Broker-Dealers to Conduct Reasonable Investigations in Regulation D Offerings
    Date posted: 4/20/2010
  3. Regulatory Notice 10-20
    Securities Industry/Regulatory Council on Continuing Education Issues Firm Element Advisory Update
    Date posted: 4/15/2010
  4. Regulatory Notice 10-21
    SEC Approval and Effective Date for New Consolidated FINRA Rules and the Repeal of Certain NASD and Incorporated NYSE Rules
    Date posted: 4/15/2010
  5. FINRA Regulatory Notice 10-19
    FINRA Reminds Firms of Responsibilities When Providing Customers with Consolidated Financial Account Reports
    Date posted: 4/8/2010
  6. CBOE Regulatory Circular 10-18
    Information Barriers of DPMs and eDPMs
    Date posted: 1/29/2010
  7. FINRA Regulatory Notice 10-05
    FINRA Reminds Firms of Their Responsibilities Under FINRA Rule 2330 for Recommended Purchases or Exchanges of Deferred Variable Annuities
    Date posted: 1/21/2010
  8. FINRA Regulatory Notice 10-04
    SEC Approves Consolidated FINRA Rules Governing Clearly Erroneous Transactions
    Date posted: 1/15/2010
  9. FINRA Regulatory Notice 09-73
    FINRA Reminds Firms of Their Sales Practice Obligations Relating to Principal-Protected Notes
    Date posted: 12/17/2009
  10. FINRA Regulatory Notice 09-67
    Regulatory Element Continuing Education Fees to Increase
    Date posted: 11/27/2009
  11. SEC Release No. 34-61050
    Amendments to Rules for Nationally Recognized Statistical Rating Organizations
    Date posted: 11/23/2009
  12. FINRA Regulatory Notice 09-64
    Verification of Instructions to Transmit or Withdraw Assets from Customer Accounts
    Date posted: 11/13/2009
  13. FINRA Information Notice 11/9/09
    Changes to the S101 and S106 Regulatory Element Continuing Education Programs
    Date posted: 11/9/2009
  14. FINRA Regulatory Notice 09-60
    SEC Approval and Effective Dates for New Consolidated FINRA Rules
    Date posted: 10/23/2009
  15. FINRA Regulatory Notice 09-61
    Securities Industry/Regulatory Council on Continuing Education Issues Firm Element Advisory Update
    Date posted: 10/23/2009
  16. NASAA Outlines Best Practices For Investment Advisers
    Coordinated IA Examinations Spotlight Deficiencies in Key Areas
    Date posted: 9/29/2009
  17. MSRB Notice 2009-50
    Notice Concerning Use of Electronic Confirmations Produced By a Clearing Agency or Qualified Vendor to Satisfy the Requirements of Rule G-15(a)
    Date posted: 9/16/2009
  18. CBOE Regulatory Circular RG09-100
    Prearranged Trades
    Date posted: 9/10/2009
  19. FINRA Regulatory Notice 09-53
    Increased Margin Requirements for Leveraged Exchange-Traded Funds and Associated Uncovered Options
    Date posted: 8/31/2009
  20. FINRA Regulatory Notice 09-51
    SEC Approves Amendments Relating to Recordkeeping and the Unsolicited Customer Order Exception of SEA Rule 15c2-11
    Date posted: 8/21/2009
  21. FINRA Regulatory Notice 09-49
    SEC Approves Amendments to Modernize and Simplify NASD Rule 2720 Relating to Public Offerings in Which a Member Firm With a Conflict of Interest Participates
    Date posted: 8/17/2009
  22. FINRA Regulatory Notice 09-42
    FINRA Reminds Firms of Their Obligations With Variable Life Settlement Activities
    Date posted: 7/31/2009
  23. FINRA Regulatory Notice 09-41
    SEC Approves Rule Change Creating New Limited Representative – Investment Banker Registration Category and Series 79 Investment Banking Exam
    Date posted: 7/29/2009
  24. FINRA Regulatory Notice 09-28
    FINRA Reminds Firms of Their Obligation to Provide Accurate Information in Disseminating, or Using Services to Disseminate, Indications of Interest
    Date posted: 7/16/2009
  25. FINRA Regulatory Notice 09-31
    FINRA Reminds Firms of Sales Practice Obligations Relating to Leveraged and Inverse Exchange-Traded Funds.
    Date posted: 7/16/2009

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