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Broker Dealer Firms We Regulate - B

B&D CAPITAL PARTNERS, LLC
211 EAST BLVD., CHARLOTTE, NC 28203-4719

B. C. ZIEGLER AND COMPANY
ONE NORTH WACKER DRIVE, SUITE 2000, CHICAGO, IL 60606

B. RILEY SECURITIES, INC.
11100 SANTA MONICA BLVD, SUITE 800, LOS ANGELES, CA 90025

B. RILEY WEALTH MANAGEMENT
40 SOUTH MAIN, SUITE 1800, MEMPHIS, TN 38103

B.B. GRAHAM & COMPANY, INC.
1700 W. KATELLA AVE., ORANGE, CA 92867

BA SECURITIES, LLC
FOUR TOWER BRIDGE, 200 BARR HARBOR DRIVE, SUITE 400, W. CONSHOHOCKEN, PA 19428

Registration, Exams and CE

To ensure a fair, balanced, inclusive market where everyone can invest with confidence, we require individuals and firms who wish to conduct business with the investing public to achieve and maintain certification as members of FINRA. FINRA-certified brokers have registered and undergone stringent Qualification Exams and are required to complete ongoing Continuing Education (CE) programs each year to ensure industry standards and practices are maintained.

For Investors

FINRA is here to guide you through the investment process so you can make smart financial decisions. We offer tips to help you manage your personal finances and set sound financial goals—and we explain in plain language key investing concepts, different types of investments and investment professionals, and questions to ask. We also provide tools and calculators to help you make informed financial decisions.