Search Results for: FINRA
U.S. Labor Department fiduciary rule to cost brokers $5.8bln -SIFMA
July 21st, 2015
A proposal by the Department of Labor to rein in conflicts by brokers who offer retirement advice may cost U.S. securities firms more than $5.8 billion, making it harder for Americans to build nest eggs, the Securities Industry and ...
Barclays to pay $800,000 fine for U.S. data reporting errors
July 17th, 2015
Wall Street’s self-funded watchdog fined a unit of Barclays PLC (BARC.L) $800,000 (512,377 pounds) for violations related to how the bank reported stock trades over a more than two-year period, hampering the regulator’s ability to properly monitor the market. ...
SEC: OZ Management LP Admits Providing Inaccurate Data, Impacting Brokers’ Records and “Blue Sheets”
July 15th, 2015
The Securities and Exchange Commission today charged OZ Management LP with providing inaccurate trade data to four prime brokers, causing inaccuracies in the brokers’ books and records and in data provided to the SEC in investigations. OZ Management, an ...
Study: Penalties Levied by Financial Watchdogs Spiked in 2014
July 2nd, 2015
Financial regulators in the United States, United Kingdom, and Hong Kong have decreased their agency expenditures but increased the penalties they’ve levied, according to a new report by regulatory, compliance, and risk consultancy Kinetic Partners. The study, Global Enforcement ...
Regulatory Fine
June 26th, 2015
Global Regulators Cyprus Securities and Exchange Commission (CySec) Fines Imposed for Year 2015 and 2016
3 Critical Fintech Innovation Trends in Banking
June 5th, 2015
Each year, the most exciting innovations in banking are presented at Finovate conferences. While some of the new ideas may never be seen by the general public, the trends of the demos provide insights into the future of financial ...
FBN Securities Goes Live on SS&C’s MarketTrader
May 29th, 2015
SS&C’s institutional broker-dealer order management system positions FBN for growth SS&C Technologies Holdings, Inc. (Nasdaq:SSNC), a global provider of financial services software and software-enabled services, today announced FBN Securities (FBN) selected SS&C MarketTrader™ as its Order Management System (OMS). ...
SEC Approves Pilot to Assess Tick Size Impact for Smaller Companies
May 8th, 2015
The Securities and Exchange Commission today approved a proposal by the national securities exchanges and the Financial Industry Regulatory Authority (FINRA) for a two-year pilot program that would widen the minimum quoting and trading increments–or tick sizes–for stocks of ...
BitGo and Genesis Trading to build institutional bitcoin trading platform
April 27th, 2015
BitGo, the leading bitcoin security platform, today announced that it has partnered with Genesis Trading, the first broker-dealer in the US, regulated by FINRA and the SEC, to specialize in trading bitcoin. BitGo and Genesis Trading will work together ...
MarketAxess Reports First Quarter 2015 Record Revenues
April 23rd, 2015
MarketAxess Reports First Quarter 2015 Record Revenues of $76.8 Million, Record Pre-Tax Income of $38.5 Million and Record Diluted EPS of $0.65 First Quarter Financial Highlights* Record revenues of $76.8 million, up 21.1% Record pre-tax income of $38.5 million, ...