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October 23, 2012
FINRA Warns of Brokers Failing to Disclose Information on Form U4

FINRA publishes a quarterly review to provide firms with a sampling of recent disciplinary actions involving misconduct by registered representatives. "Willfully Failing to Disclose Material Information on a Form U4" Recently, FINRA settled a matter involving a registered representative who willfully failed to amend his Form U4 to disclose tax liens and judgments, and failed […]

July 11, 2012
Broker Censured, Suspended and Fined by FINRA for Failure to Report Felony

  Randy Craig Hester (CRD #1382578, Registered Representative, Highland Park, Illinois)   was censured, fined $5,000 and suspended from association with any member firm in any capacity for one year. The fine must be paid either immediately upon Hester’s reassociation with a FINRA member firm following his suspension, or prior to the filing of any […]

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