Tag Archives: broker-dealer

SEC Proposes Rules to Enhance Oversight of Dark Pools

November 19, 2015 Dear Friends, The SEC has voted to propose new rules to enhance transparency and regulatory oversight of dark pools. Pursuant to the new rules, alternative trading systems (ATS) that trade stocks listed on a national securities exchange (NMS stocks), including dark pools, would be required to publicly disclose detailed information via the new form ATS-N, including: Information […]

FINRA Requires BrokerCheck Links for Broker-Dealers

  October 9, 2015 Dear Friends, The SEC approved a FINRA rule that will require certain registered broker-dealers include a link to FINRA’s BrokerCheck system on their websites. The rule does not apply to FINRA members that do not provide products or services to retail investors. Pursuant to the new rule FINRA members must include a readily apparent reference and […]

SEC Charges Affiliates with Failure to Maintain MNPI Policies

Dear Friends, Yesterday the SEC charged an affiliated investment adviser and broker-dealer (“Affiliates”) with failure to maintain and enforce policies and procedures to prevent the misuse of material non-public information. According to the SEC: The Affiliates repeatedly shared information in violation of their policies and procedures. Despite information barriers between the Affiliates, traders from the Affiliates met to discuss trading positions […]

SEC Chairman Announces Far-Reaching Initiatives

   Dear Friends, SEC Chairman Mary Jo White announced several far-reaching initiatives and rule proposals that would affect virtually every aspect of the stock market. She focused on the impact of computer-driven trading and the importance of updating the SEC’s regulatory regime accordingly. Notably, Chairman White proposed a rule that could require high-frequency traders to register as broker-dealers. Additionally, she […]