Tina Salehi Gubb is the Senior Vice President of Enforcement Legal. In this role, Ms. Gubb is a senior legal advisor to the Executive Vice President and Head of Enforcement. She is responsible for monitoring and advising on high-impact and noteworthy investigations and disciplinary actions, including litigation, across the Enforcement department and in coordination with FINRA’s Regulatory
This data provides aggregate market activity for corporate bonds, agency bonds and 144a bonds (144a bonds are private placement securities subject to SEC Rule144A), using end-of-day data for days the system is open. Data is not available for days the system is closed. Please refer to Systems Calendar. Learn more about bonds.The advances, declines, and unchanged requires the security to have at
This data provides aggregate market activity for corporate bonds, agency bonds and 144a bonds (144a bonds are private placement securities subject to SEC Rule144A), using end-of-day data for days the system is open. Data is not available for days the system is closed. Please refer to Systems Calendar. Learn more about bonds.The advances, declines, and unchanged requires the security to have at
The following lists of the ten most active investment grade, high-yield and convertible corporate bonds is published for each market day. Please refer to Systems Calendar.
SummaryFINRA is providing information in this Notice to remind registered persons and firms of the new requirements regarding the Continuing Education (CE) Regulatory Element, including:this year’s training assignments and completion deadline of December 31, 2023;the consequences of not completing required annual training and CE inactive status; andresources available to firms for facilitating
SummaryThis Notice reminds firms of the changes to FINRA’s Continuing Education (CE) Firm Element requirement, specifically:extending the requirement to all registered persons;recognizing other required training toward satisfying an individual’s annual Firm Element obligation; andrevising the minimum Firm Element training criteria.FINRA and the Securities Industry/Regulatory Council on Continuing
As of June 30, 2024ATS NameATS IDFirm NameCommentABE ATSABEX303 ALTERNATIVES LLC AMERICAN LEDGER ATSCSTNAMERICAN LEDGER ATSCeased on July 31, 2021APOGEEAPOGCITADEL SECURITIES LLCCeased on April 2, 2015AQUAAQUAAQUA SECURITIES L.P.Ceased on September 16, 2022AX TRADING, LLCAXTNAX TRADING, LLCCeased on April 30, 2021BARCLAYS DIRECTEXBCDXBARCLAYS CAPITAL INC.Ceased on October 31, 2018BIDS ATSBIDSBIDS
Createathon, FINRA’s premiere innovation event, isn’t your average hackathon. Sure, there is a healthy dose of exploratory and rapid engineering in the name of problem solving, but this event is so much more.
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Table of Contents4.1 Changes in Registration TypeTable 4.1.1 Registered Representatives - Changes in Registration Type, 2022-20234.2 Firm SizeTable 4.2.1 FINRA-Registered Firms - Changes in Firm Size, 2022-2023Figure 4.2.2 FINRA-Registered Firms – Total Revenues and Expenses by Firm Size, 2019−20234.3 Account Owner TypeFigure 4.3.1 Trading Statistics by Account Owner Type, 2023Figure 4.3.2
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1Individuals may be registered in more than one state. We do not make changes to state-level counts with respect to multi-state registrations.