Blog
September 6, 2024
FINRA Updates Rule 8312? The Financial Industry Regulatory Authority (FINRA) has recently introduced amendments to Rule 8312, impacting how information is presented on BrokerCheck. Effective June 1, 2023, these changes will provide investors with clearer insights into whether a broker or member firm is currently designated as a “Restricted Firm” under FINRA’s regulatory framework. The […]
September 5, 2024
Steering through the complexities of financial regulations can be a formidable challenge, particularly when dealing with rules like FINRA Rule 3280. This rule governs private securities transactions by associated persons of a FINRA member firm, making it crucial for financial professionals to fully understand and comply with its requirements. Non-compliance with FINRA Rule 3280 can […]
August 26, 2024
When you’re involved in a dispute with a brokerage firm, the potential financial outcome—whether it’s through a settlement or an award following arbitration—can have significant implications. It’s not just the amount of money that matters, but how this money affects your tax situation. Many individuals overlook the importance of understanding the tax consequences associated with […]
August 24, 2024
California FINRA stockbroker employment lawyers at Bakhtiari & Harrison assist in navigating the world of employment related disputes which at times can be complex. Especially when disputes arise, the legal and regulatory landscape can seem daunting. The Financial Industry Regulatory Authority, or FINRA, plays a crucial role in this landscape. It regulates stockbroker employment and registration, […]
August 21, 2024
Have you ever heard of selling away? It’s something that can get financial advisors in big trouble with FINRA, the Financial Industry Regulatory Authority. This article will explain what selling away is, why it’s a problem, and what the consequences can be. We’ll also review some important FINRA rules you need to know about to […]