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FINRA disciplinary action update 2024/9

Montage of person walking by the FINRA sign.
GRIP Montage: Getty Images

Disciplinary decisions issued March 2 – 8, 2024.

Former securities representative barred for allegedly refusing to appear for on-the-record testimony

Securities representative suspended and fined for allegedly falsely certifying that he had personally completed the continuing education required to hold an insurance license

Another person had completed 15 hours of insurance continuing education on his behalf.

Former