Guarding Against Excessive Trading in a Customer’s Account

Welcome to #finraFridays! This blog breaks down the mysteries of FINRA’s investigative and disciplinary process and FINRA’s rules.  It is important for brokers and customers alike to be aware of how the securities industry is supposed to operate and how to respond when something appears to go wrong.  In each posting, we explore a small … Continue reading Guarding Against Excessive Trading in a Customer’s Account