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Articles Posted in The FINRA Rule Watch – FINRA Rules of Importance to Investors

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Valuations of Unlisted Real Estate Investment Trusts and Direct Participation Programs – Boca Raton, Florida REIT and DPP FINRA Arbitration and Litigation Attorney

SEC Order Approving FINRA Rule Change Relative to How Member Firms are Required to Calculate the Value of Unlisted Real Estate Investment Trusts and Direct-Participation Programs: The Sec has approved FINRA’s plan to overhaul how member firms calculate the value of unlised real estate investment trusts (“REITs”) and direct-participation programs…

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Proposed FINRA Rule Change to Amend the Discovery Guide Used in Customer Cases to Provide Guidance on Electronic Discovery, Product Cases and Affirmations – South Florida FINRA Arbitration Attorney

Proposed Rule Change to Amend the Discovery Guide Used in Customer Arbitration Proceedings to Provide Guidance on Electronic Discovery Issues and Product Cases and to Clarify the Existing Provision Relating to Affirmations: Financial Industry Regulatory Authority, Inc. (“FINRA”) has recently filed with the Securities and Exchange Commission (“SEC” or “Commission”)…

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Notice of Adoption of Final Rule for Broker – Dealers Engaging in a Retail Forex Business – South Florida Retail Forex FINRA and NFA Arbitration Attorney

Adoption of Final Rule for Broker-Dealers Engaging in a Retail Forex Business The Securities and Exchange Commission (Commission) recently announced the adoption of a final rule (Rule 15b12-1) to permit a registered broker-dealer to engage in a retail forex business, provided that the broker-dealer complies with the Securities Exchange Act of…

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FINRA Proposed Consolidated Supervision Rule – Florida Securities and Investment Negligent Supervision, Fraud and Mismanagement FINRA Arbitration and Litigation Attorney

South Florida – FINRA Negligent Supervision FINRA Arbitration Attorney: Proposed Rule Change to Adopt the Consolidated FINRA Supervision Rules: Financial Industry Regulatory Authority, Inc. (“FINRA”) recently filed with the Securities and Exchange Commission (“SEC” or “Commission”) a proposed rule change to adopt the consolidated FINRA supervision rules. Specifically, the proposed rule…

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Proposed Rule Change to Amend FINRA Dispute Resolution’s By-Laws to Clarify That Services Provided by Mediators Should Not Cause Them to Be Classified As Industry Members under the By-Laws

The Financial Industry Regulatory Authority, Inc. (“FINRA”) recently filed with the Securities and Exchange Commission (“SEC” or “Commission”) a proposed rule change to amend the By-Laws of FINRA Dispute Resolution, Inc. (By-Laws) to clarify that services provided by mediators, when acting in such capacity and not representing parties in mediation,…

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Alert Regarding Proposed Rule Change Relating to Stop and Stop Limit Orders

May, 2012: FINRA Proposed Rule Change Relating to the Handling of Stop and Stop Limit Orders http://www.finra.org/Industry/Regulation/RuleFilings/2012/index.htm Many investors use Stop or Stop Limit Orders as part of their investment strategy.  Therefore, it is important to stay abreast of proposed changes that may effect that strategy.  Consequently, it is important…

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FINRA Proposed Rule Change Re Front Running of Block Transactions

FINRA Arbitration and Litigation Attorney, Russell L. Forkey, Esq. May, 2012: Proposed Rule Change to Adopt FINRA Rule 5270 (Front Running of Block Transactions) in Consolidated FINRA Rule Book. There are many variations of front running.  Generally, front running is a practice whereby a securities trader takes a position to…

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Proposed FINRA Rule Change Relating to Margin Requirements

The purpose of this post is to provide the reader with information relative to recently proposed or adopted rule changes issued by the Financial Industry Regulatory Authority (FINRA), in addition to Guidance Releases relating to the interruptation of these rules. This information is being provided for informational purposes only. Thus,…

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Proposed Amendment to FINRA Rule 5122 Relative to Broker/Dealer Participation in Private Placements

Broker/Dealer – Private Placements: As a result of the recent private placement debacle that seems to be discussed daily in the financial press, FINRA has proposed an amendment to its rules, which it believes will enhance investor protection. While the amendment is not the end-all to the problems that have…

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SEC Approves Consolidated FINRA Rules Governing Know-Your- Customer and Suitability Obligations

SEC Approves Consolidated FINRA Rules Governing Know-Your-Customer: Effective October 7, 2011, new consolidated FINRA rules governing your broker/dealer’s and your account executive’s know-your-customer and suitability obligations become effective for the consolidated FINRA rulebook. The new rules are based in part on and replace provisions in the NASD and NYSE rules.…

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