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Guidance

We offer guidance to firms in the form of podcasts, webinars, FAQs, reports, and more. Use the toggle below to find guidance by topic, type or date. 

5 A B C D E F G H I L M N O P Q R S T V
Notice
New Large Options Positions Report (LOPR) Requirements Due to Implementation of Options Symbology Initiative
August 06, 2009
Guidance
FINRA Reminds Alternative Trading Systems of Their Reporting Obligations
August 05, 2009
Notice
FINRA Reminds Firms of Their Obligations With Variable Life Settlement Activities
July 30, 2009
Guidance
Guidance on the Net Capital and Reserve Formula Treatment of Senior Unsecured Debt Securities Issued Under the Debt Guarantee Program Component of the FDIC's Temporary Liquidity Guarantee Program; Effective Date: July 15, 2009
July 15, 2009
Guidance
FINRA Recommends Review of Municipal Securities Activities
June 30, 2009
Notice
FINRA Reminds Firms of Sales Practice Obligations Relating to Leveraged and Inverse Exchange-Traded Funds
June 11, 2009
Exemptive Letter
Exemptive relief is granted based on: the representation that at the time of the contribution the individual was not an MFP (as defined); the firm already has a significant business relationship with the governmental entities of which the contribution recipients were considered to be issuer officials; the firm has instituted information barriers on certain municipal business communications; the individual involved will be prohibited from the solicitation of certain new municipal business for a period of time.
June 10, 2009
Targeted Examination Letter
FINRA is reviewing transactions with retail customers of certain fixed income products known as “Gas Bonds.”
June 01, 2009
Guidance
FINRA is reviewing retail municipal securities transactions. In connection with this review, we request your firm to produce the following information relevant to retail customer municipal transactions by your firm for the period from January 1, 2009 through March 31, 2009.
June 01, 2009
Guidance
FINRA is reviewing the sale of structured products to investors. In connection with this review, we request the following information for the period of January 1, 2007 to May 31, 2009 (“the review period”).
June 01, 2009
Notice
FINRA Reminds Firms of Their Obligation to Provide Accurate Information in Disseminating, or Using Services to Disseminate, Indications of Interest
May 27, 2009
Guidance
Securities Industry/Regulatory Council on Continuing Education Issues Firm Element Advisory Update
May 19, 2009
Exemptive Letter
Exemptive relief is granted based on: the representation that the acquiring firm did not engage in the soliciation of business and the individual was not, at the time, considered to be an MFP as defined; the acquiring firm did not have knowledge of the contribution and the contribution has been returned; the municipal securities business relationships of the acquired firm were long standing and existed prior to the contribution; the firm has instituted extensive information barriers on certain municipal business communications; the individual involved will be prohibited from the solicitation of new municipal securtiies business for a period of time.
April 03, 2009
Guidance
EBS Submissions Following Implementation of the Option Symbology Initiative
March 30, 2009
Notice
FINRA Provides Guidance on its Enforcement Process
March 18, 2009
Notice
Reporting Requirements for Settlements of Customer Disputes Involving Auction Rate Securities
February 18, 2009
Guidance
FINRA is issuing this Notice to address certain requirements that apply to the per-share customer account statement values and dividend distributions of REITs and DPPs (collectively, "real estate investment programs") that are sold through broker-dealers, invest in real estate and do not trade on a national securities exchange.
February 04, 2009
Notice
FINRA Reminds Firms of Their Obligations to Determine Whether Securities are Eligible for Public Sale
January 13, 2009
Notice
FINRA Provides Guidance on Estimated Annual Income and Estimated Yield
December 12, 2008
Notice
Technology Changes for Reporting Clearing Methods and Arrangements
December 11, 2008
Notice
Guaranteed Senior Unsecured Debt Is a TRACE-Eligible Security
December 10, 2008
Notice
FINRA Provides Guidance Concerning the Types of Securities Transactions Subject to the Regulatory Transaction Fee
December 03, 2008
Guidance
FINRA Provides Guidance Regarding Credit for Extraordinary Cooperation
November 28, 2008
Guidance
Alert to Member Firms About the Federal Trade Commission’s FACT Act Regulations and the Announcement of the FTC’s Decision to Delay Enforcement of the Red Flags Rule until May 1, 2009
November 26, 2008
Guidance
FINRA Announces Electronic Filing Process For Qualification Examination Waiver Requests and Series 16 Experience Acceptability Requests
November 07, 2008