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2017055087003 Merrill Lynch, Pierce, Fenner & Smith, Incorporated CRD 7691 and BofA Securities, Inc. CRD 283942 AWC lp (2024-1727482819220).pdf

FINANCIAL INDUSTRY REGULATORY AUTHORITY LETTER OF ACCEPTANCE, WAIVER, AND CONSENT NO. 2017055087003 TO: Department of Enforcement Financial Industry Regulatory Authority (FINRA) RE: Merrill Lynch, Pierce, Fenner & Smith, Incorporated, CRD No. 7691, and BofA Securities, Inc., CRD No. 283942 Respondents Pursuant to FINRA Rule 9216, Respondents Merrill Lynch, Pierce, Fenner & Smith, Incorporated ("Merrill") and BofA Securities, Inc.

2023078946501 Richard Davalos CRD 7194114 AWC lp (2024-1727482812948).pdf

FINANCIAL INDUSTRY REGULATORY AUTHORITY LETTER OF ACCEPTANCE, WAIVER, AND CONSENT NO. 2023078946501 TO: Department of Enforcement Financial Industry Regulatory Authority (FINRA) RE: Richard Celis Davalos (Respondent) Former General Securities Representative CRD No. 7194114 Pursuant to FINRA Rule 9216, Respondent Richard Celis Davalos submits this Letter of Acceptance, Waiver, and Consent (AWC) for the purpose of proposing a settlement of the alleged rule violations described below.

2018056490314 Kieran J. Loughran CRD 2826208 AWC lp (2024-1727482813249).pdf

FINANCIAL INDUSTRY REGULATORY AUTHORITY LETTER OF ACCEPTANCE, WAIVER, AND CONSENT NO. 2018056490314 TO: Department of Enforcement Financial Industry Regulatory Authority (FINRA) RE: Kieran J. Loughran (Respondent) Former General Securities Representative CRD No. 2826208 Pursuant to FINRA Rule 9216, Respondent Kieran J. Loughran submits this Letter of Acceptance, Waiver, and Consent (AWC) for the purpose of proposing a settlement of the alleged rule violations described below.

Election Notice – 9/3/24

Summary

The purpose of this Notice is to notify member firms of the upcoming nomination and election process to fill vacancies on FINRA’s Regional Committees. The Regional Committees play an important part of informing FINRA’s regulatory programs by, among other things, alerting FINRA to industry trends that could present regulatory concerns and consulting with FINRA on proposed policies and rule changes.