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Articles Posted in Failure to Supervise

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Broker/Dealer Remote Office Supervision – South Florida FINRA Arbitration and Regulatory Attorney

Remote Office Supervision This post is designed to provide a summary of various rules and regulations requiring the establishment and enforcement of supervisory responsibilities over remote activities of a firm’s business activities.  It is being presented for educational purposes only and thus, is not designed to be complete in all…

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Capitol Securities Management, Inc. – Suitability of Short Term Trading of Unit Investment Trusts

Capitol Securities Management, Inc. (CRD #14169, Glen Allen, Virginia) FINRA recently announced that on or about May 25, 2018, Capitol Securities Management, Inc. executed an Acceptance, Waiver and Consent in which the firm was censured, fined $100,000 and ordered to pay $44,740.33, plus interest, in restitution to customers. Without admitting or denying…

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Integrated Trading and Investments, Inc. – Failure to Properly Maintain and Supervise Email Communications

Integrated Trading and Investments, Inc. (CRD #47730, Huntington Beach, California) FINRA recently announced that on or about May 21, 2018 Integrated Trading and Investments, Inc. executed an Acceptance, Waiver and Consent in which the firm was censured and fined $5,000. A lower fine was imposed after considering, among other things,…

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