Recent changes

Friday, March 13, 2026

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FINRA Fines Five Firms $585,000 for Reporting and Supervisory Violations

FINRA announced disciplinary actions against five firms in February 2026, imposing fines totaling $585,000. The actions address violations related to trade reporting accuracy, customer trade confirmations, and supervisory systems for employee outside brokerage accounts.

Priority review Enforcement Securities
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FINRA Fines Firms for Rule Violations

FINRA has fined two firms, SG Americas Securities, LLC and Wedbush Securities Inc., a total of $240,000 for rule violations. The violations include inaccurate reporting of order handling and failure to maintain possession or control of customer securities. These actions were reported in FINRA's January 2026 disciplinary actions.

Priority review Enforcement Securities
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FINRA Disciplinary Actions for March 2026

FINRA has taken disciplinary actions against Independence Capital Co., Inc. and Dennis Clarence Twarogowski, resulting in fines, restitution, and suspensions for supervision failures and reporting errors. BNY Mellon Capital Markets, LLC was also fined for municipal securities reporting violations.

Priority review Enforcement Securities

Tuesday, March 10, 2026

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FINRA Adopts Amendments to Equity Trade Reporting Rules

FINRA has adopted amendments to its equity trade reporting rules, providing a limited, temporary exception for reporting qualifying overnight transactions executed before 8:00 a.m. Eastern Time. This exception will be effective from March 30, 2026, and will expire on December 31, 2027, or upon further extension of trade reporting facility operating hours.

Priority review Rule Securities

Tuesday, March 3, 2026

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FINRA Seeks Comment on Modernizing Arbitration Rules

FINRA has issued a request for comment on modernizing its arbitration rules, guidance, and processes. The notice seeks input from interested parties to help shape future revisions aimed at improving fairness, efficiency, and transparency in the arbitration forum.

Priority review Consultation Securities

Saturday, February 28, 2026

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FINRA Amends Rule 3220 on Gifts to Employees of Others

FINRA has adopted amendments to Rule 3220, increasing the annual gift limit to employees of other firms from $100 to $300. The amendments also codify current guidance and provide for exemptive relief, aiming to modernize rules and promote efficiency without reducing investor protection. Conforming amendments were made to related rules.

Priority review Rule Securities

Thursday, February 26, 2026

17d ago FINRA Rule Filings
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FINRA proposes rule change for overnight transaction reporting exception

FINRA has filed a proposed rule change with the SEC to amend rules governing transaction reporting. The proposal seeks to provide a limited, temporary exception for reporting specified overnight transactions before 8:00 a.m. Eastern Time.

Priority review Consultation Securities

Thursday, February 12, 2026

1mo ago FINRA Guidance
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FINRA Guidance Documents, Interpretive Letters, FAQs, and Best Practices

FINRA has published a collection of its guidance documents, interpretive letters, FAQs, and best practices related to specific topics. This resource aims to provide clarity and support for regulated entities in understanding and adhering to FINRA rules.

Routine Guidance Securities

Wednesday, February 11, 2026

1mo ago FINRA Rule Filings
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FINRA Proposed Rule Change to Amend Communications with the Public Rule

FINRA has filed a proposed rule change with the SEC to amend FINRA Rule 2210 concerning communications with the public. The amendment would permit members to project performance or provide targeted returns on investments, subject to specific conditions ensuring a sound basis for such projections.

Priority review Consultation Securities

Friday, February 6, 2026

1mo ago FINRA Guidance
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FINRA Interpretive Letters on Rule Application

FINRA has published interpretive letters providing guidance on the application of specific FINRA rules under various circumstances. These letters clarify staff views on rules related to communications with the public, account transfers, and registration categories.

Routine Guidance Securities

Showing 1–10 of 22 changes

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FINRA Disciplinary Actions

Updated 2d ago 3 recent

FINRA Regulatory Notices

Updated 6d ago 3 recent

FINRA Rule Filings

Updated 17d ago 1 recent

FINRA Guidance

Updated 1mo ago 0 recent

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