Glen Barrentine is Of Counsel in the New York office of Norton Rose Fulbright. His practice focuses broadly on SEC regulated financial service clients, including broker-dealers, securities exchanges, municipal advisors and investment advisers. Glen frequency represents clients in connection with SEC and FINRA enforcement proceedings and other contentious regulatory inquiries, purchases and sales, and the
FINRA
FINRA (and selected SEC) regulatory matters at a glance: What compliance officers need to know
Glen Barrentine is Of Counsel in the New York office of Norton Rose Fulbright. His practice focuses broadly on SEC regulated financial service clients, including broker-dealers, securities exchanges, municipal advisors and investment advisers. Glen frequency represents clients in connection with SEC and FINRA enforcement proceedings and other contentious regulatory inquiries, purchases and sales, and the…
FINRA Updates FAQs Related to COVID-19 Regulatory Relief
FINRA has supplemented its FAQs related to COVID-19 regulatory relief. Summaries of the new FAQs are provided below. Helpfully, FINRA has also provided a link to state “shelter-in-place” and “stay-at-home” orders.
Impact of Communication Disruptions – Implications for Firms. FINRA states that member firms should consider steps they can take to mitigate risks that…
FINRA’s Guidance to Broker-Dealers on Pandemic Preparedness (coronavirus, COVID-19)
In light of mounting concerns about COVID-19, aka the coronavirus, FINRA recently published FINRA Regulatory Notice 20-08 – Pandemic-Related Business Continuity Planning, Guidance and Regulatory Relief. Notice 20-08 provides both guidance on pandemic preparedness and regulatory relief to impacted member firms. Notice 20-08 supplements previous guidance on pandemic preparedness that FINRA published in October 2009…
FINRA (and selected SEC) regulatory matters at a glance: What compliance officers need to know
Glen Barrentine is Of Counsel in the New York office of Norton Rose Fulbright. His practice focuses broadly on SEC regulated financial service clients, including broker-dealers, securities exchanges, municipal advisors and investment advisers. Glen frequency represents clients in connection with SEC and FINRA enforcement proceedings and other contentious regulatory inquiries, purchases and sales, and the…
FINRA (and selected SEC) regulatory matters at a glance – what compliance officers need to know
Glen Barrentine prepares a monthly update of FINRA and SEC regulatory matters of interest to broker-dealers.…
FINRA (and selected SEC) regulatory matters at a glance – what compliance officers need to know
FINRA (and selected SEC) regulatory matters at a glance – what compliance officers need to know…
FINRA (and selected SEC) regulatory matters at a glance – What compliance officers need to know
Glen Barrentine prepares a monthly update of FINRA and SEC regulatory matters of interest to broker-dealers.…
FINRA (and selected SEC) regulatory matters at a glance: What compliance officers need to know
Glen Barrentine prepares a monthly update of FINRA and SEC regulatory matters of interest to broker-dealers.…
FINRA (and selected SEC) regulatory matters at a glance: What compliance officers need to know
Glen Barrentine is Of Counsel in the New York office of Norton Rose Fulbright. His practice focuses broadly on SEC regulated financial service clients, including broker-dealers, securities exchanges, municipal advisors and investment advisers. Glen frequency represents clients in connection with SEC and FINRA enforcement proceedings and other contentious regulatory inquiries, purchases and sales, and the…