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FINRA CEO Expresses Concerns About Investment Products

February 8, 2011 by lmitchum

FINRA CEO Expresses Concerns About Investment Products

Rick Ketchum, Chairman and CEO of the Financial Industry Regulatory Authority (FINRA), recently spoke at the CCOutreach BD National Seminar. Ketchum addressed some specific product concerns: Over the last couple of years, FINRA has issued a number of Regulatory Notices related to products that have raised concerns for us from an investor protection standpoint. As […]

Filed Under: Blog Tagged With: Collateralized Debt Obligations, FINRA, Private Placements, Securities Lawyers, Stock Fraud Attorney

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The laws and rules that govern the securities industry in the United States derive from a simple and straightforward concept: all investors, whether large institutions or private individuals, should have access to certain basic facts about an investment prior to buying it, and so long as they hold it." —U.S. Securities and Exchange Commission
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