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August 26, 2013
Four Firms Fined by FINRA

FINRA, the Financial Industry Regulatory Authority, recently fined four firms for violations of municipal securities rules. The four firms and fines included: 1. Edward D. Jones & Co. with $160,000, FINRA alleged that, in 87 transactions between Oct. 1 and Dec. 31 2008, St. Louis-based Edward Jones sold securities for the firm’s own account at […]

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