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October 8, 2012
FINRA Paying Attention to Brokerage Conflicts Involving Complex Products

In a recent Reuters article, they write that FINRA, or The Financial Industry Regulatory Authority, is examining major brokerages regarding potential conflicts of interest and financial incentives associated with the sale of complex securities, said the Wall Street regulator's chief. Richard Ketchum, FINRA's chairman and chief executive, said that FINRA is looking "very closely" at […]

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