Blog
September 25, 2024
If you’ve been accused of exercising discretion in customer accounts, you may face severe consequences that could impact your career. Understanding FINRA Rules 3260(b) and 2010 is crucial for your defense. At Bakhtiari & Harrison, we help stockbrokers navigate these complex regulations and defend their professional reputation. If you’re in this situation, contact us today […]
September 22, 2024
If you’re considering a career in the financial services industry, you’ve likely come across the term “Series 6 License.” This license is essential for individuals who want to sell certain types of securities, such as mutual funds, variable annuities, and insurance products. Issued by the Financial Industry Regulatory Authority (FINRA), the Series 6 License is […]
September 19, 2024
Regulation D (Reg D) is a crucial part of the Securities Act of 1933, which provides exemptions from the registration requirements for certain securities offerings. These exemptions allow companies to raise capital without going through the lengthy and expensive process of registering with the Securities and Exchange Commission (SEC). For many startups and small businesses, […]
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 […]
August 20, 2024
Navigating a FINRA regulatory case can be a daunting task. The complexities of the financial industry and the regulatory framework can often seem overwhelming. This article aims to guide you through the process. It provides actionable insights and strategies to help you win your FINRA regulatory case. Whether you’re a financial professional, broker-dealer, or legal […]