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  2. Financial Industry Regulatory Authority - Wikipedia

    en.wikipedia.org/wiki/Financial_Industry...

    The Financial Industry Regulatory Authority is the largest independent regulator for all securities firms doing business in the United States. FINRA's mission is to protect investors by making sure the United States securities industry operates fairly and honestly. As of October 2023, FINRA oversaw 3,394 brokerage firms, 149,887 branch offices ...

  3. Securities market participants (United States) - Wikipedia

    en.wikipedia.org/wiki/Securities_market...

    Electronic ticker monitor display, showing the bid and offer status of securities. Securities market participants in the United States include corporations and governments issuing securities, persons and corporations buying and selling a security, the broker-dealers and exchanges which facilitate such trading, banks which safe keep assets, and regulators who monitor the markets' activities.

  4. List of securities examinations - Wikipedia

    en.wikipedia.org/wiki/List_of_securities...

    The following is a list of the U.S. Financial Industry Regulatory Authority (FINRA), NASAA, and National Futures Association (NFA) financial securities examinations. Most FINRA examinations are divided into two categories: Registered Representative and Registered Principal levels. An asterisk designates that there is no sponsorship requirement ...

  5. Brokers, Take Notice: Industry Watchdogs Eye Reg BI ... - AOL

    www.aol.com/brokers-notice-industry-watchdogs...

    In mid-January, the Financial Industry Regulatory Authority (FINRA) issued an annual report that, among other topics, addresses and reviews firms' compliance with this broker-dealer standard of ...

  6. United States securities regulation - Wikipedia

    en.wikipedia.org/wiki/United_States_Securities...

    Financial Industry Regulatory Authority (FINRA) in New York. Securities regulation in the United States is the field of U.S. law that covers transactions and other dealings with securities. The term is usually understood to include both federal and state-level regulation by governmental regulatory agencies, but sometimes may also encompass ...

  7. 5 ways a financial advisor can help you reach your ... - AOL

    www.aol.com/finance/5-ways-financial-advisor...

    A good place to start is BrokerCheck from the Financial Industry Regulatory Authority (FINRA). Here, you can research professionals who sell securities, provide advice or both.

  8. Stockbroker - Wikipedia

    en.wikipedia.org/wiki/Stockbroker

    The Financial Industry Regulatory Authority, a self-regulatory organization, regulates investment professionals in the United States. Exams that individuals may take for accreditation include the Series 7 exam , the Uniform Securities Agent State Law Exam (Series 63), the Uniform Combined State Law Exam (Series 66), and the Uniform Investment ...

  9. Securities Investor Protection Corporation - Wikipedia

    en.wikipedia.org/wiki/Securities_Investor...

    The Securities Investor Protection Corporation ( SIPC / ˈsɪpɪk /) is a federally mandated, non-profit, member-funded, United States government corporation created under the Securities Investor Protection Act (SIPA) of 1970 [3] that mandates membership of most US-registered broker-dealers. Although created by federal legislation and overseen ...