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Adjudications & Decisions

When FINRA determines that violations of securities rules have occurred and formal disciplinary action is necessary, the Enforcement Department files a complaint with the Office of Hearing Officers (OHO).

The Office arranges a three-person panel to hear the case. The panel is chaired by a hearing officer who is an employee of the Office of Hearing Officers. The Chief Hearing Officer appoints two industry panelists, drawn primarily from a pool of current and former securities industry members of FINRA's District Committees, as well as its Market Regulation Committee, former members of FINRA's National Adjudicatory Council (NAC) and former FINRA Governors.

At the hearing, the parties present evidence for the panel to determine whether a firm or individual has engaged in conduct that violates FINRA rules, SEC regulations or federal securities laws. In reaching its decision, the hearing panel also considers previous court, SEC, and NAC decisions to determine if violations occurred. The NAC is the national committee which reviews initial decisions rendered in FINRA disciplinary and membership proceedings.

For each case, the hearing panel will issue a written decision explaining the reasons for its ruling and consult the FINRA Sanction Guidelines to determine the appropriate sanctions if violations have occurred. FINRA also, when feasible and appropriate, can order firms and individuals to make restitution to harmed customers.


Appeals Process

Under FINRA's disciplinary procedures, a firm or individual has the right to appeal a hearing panel decision to the NAC, or the NAC may on its own initiate a review of a decision. On appeal, the NAC will determine if a hearing panel's findings were legally correct, factually supported and consistent with FINRA's Sanction Guidelines. While a panel decision is on appeal, the sanction is not enforced against the firm or individual.

Unless FINRA's Board of Governors decides to review the NAC's appellate decision, that decision represents FINRA's final action. A firm or individual can appeal FINRA's decision to the SEC and then to federal court.


View All Adjudications & Decisions

Choose Year
Date of Decision Proceeding No. Title Type
September 21, 2015 20080148227-02 Order Granting Respondents’ Preclusion Motion Disciplinary Order
September 16, 2015 2013035928002 Otis Treat Bradley Disciplinary Decision - Default
September 15, 2015 2012033508702 APPEALED: Wall Street Securities, Inc., Gary Savage, Sr., and Louis Karl Kittlaus Disciplinary Decision
September 04, 2015 2013037815302 Frederick Juri Kotowitz Disciplinary Decision - Default
August 27, 2015 2012034934301 Wedbush Securities Inc. Disciplinary Decision
August 19, 2015 2012030670603 Jordon S. Trice Disciplinary Decision - Default
August 17, 2015 2012030373701 John Joseph Vaughan Disciplinary Decision - Default
August 16, 2015 2013036799902 Gaby Delisme Disciplinary Decision - Default
August 13, 2015 2011025622001 SWS Financial Service, Inc. Disciplinary Decision
August 10, 2015 SD-MCDC-019 BNY Mellon Capital Markets, LLC Statutory Disqualification, Approvals
August 10, 2015 SD-MCDC-031 Citigroup Global Markets Inc. Statutory Disqualification, Approvals
August 10, 2015 SD-MCDC-026 Goldman, Sachs & Co. Statutory Disqualification, Approvals
August 10, 2015 SD-MCDC-025 Oppenheimer & Co. Inc. Statutory Disqualification, Approvals
August 10, 2015 SD-MCDC-028 Piper Jaffray & Co. Statutory Disqualification, Approvals
August 10, 2015 SD-MCDC-029 Sterne, Agee & Leach, Inc. Statutory Disqualification, Approvals
August 10, 2015 SD-MCDC-026 et al. Goldman, Sachs & Co., J.P. Morgan Securities LLC, Morgan Stanley & Co. LLC, Oppenheimer & Co. Inc., RBC Capital Markets, LLC, Stifel, Nicolaus & Company, Inc. Statutory Disqualification, Approvals
August 10, 2015 SD-MCDC-020 City Securities Corporation Approvals, Statutory Disqualification
August 10, 2015 SD-MCDC-023 Smith Hayes Financial Services Corporation Statutory Disqualification, Approvals
August 10, 2015 SD-MCDC-031 et al. Citigroup Global Markets Inc., Merrill Lynch, Pierce, Fenner & Smith Incorporated, Raymond James & Associates, Inc. Statutory Disqualification, Approvals
August 10, 2015 SD-MCDC-006 Bernardi Securities, Inc. Approvals, Statutory Disqualification
August 10, 2015 SD-MCDC-001 Loop Capital Markets LLC Statutory Disqualification, Approvals
August 10, 2015 SD-MCDC-018 BMO Capital Markets GKST Inc. Statutory Disqualification, Approvals
August 10, 2015 SD-MCDC-002 George K. Baum & Company Statutory Disqualification, Approvals
August 10, 2015 SD-MCDC-033 Merrill Lynch, Pierce, Fenner & Smith Inc. Statutory Disqualification, Approvals
August 10, 2015 SD-MCDC-032 J.P. Morgan Securities LLC Statutory Disqualification, Approvals