The board’s action Tuesday adds to a growing list of items Finra plans to unveil in its effort to combat errant brokers.

As it said last May, Finra will also be asking for comment on plans to add more disclosures about advisors on BrokerCheck, on heightening supervision of brokers appealing disciplinary matters, and expanding sanction guidelines to enable adjudicators to consider more severe penalties for recidivists.

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