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The Financial Industry Regulatory Authority (FINRA) was
created in July 2007 through the consolidation of the
NASD and the member regulation enforcement & arbitration functions of
the New York Stock Exchange (NYSE).
FINRA is dedicated to investor protection and market integrity through
effective and efficient regulation and complementary compliance and
technology-based services.
FINRA is the largest non-governmental regulator for all securities firms
doing business in the United States, overseeing nearly 5,100 brokerage
firms, about 174,000 branch offices and more than 672,000 registered
securities representatives.
Do you have a question about
Wealth Management, Retirement, or other Financial Matters?
Ask Atlantic Financial. Please call 1-800-559-2900,
(please include your name and phone
number), or use the this contact form:
Contact Atlantic Financial

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