Financial Industry Regulatory Authority (FINRA) Rule Sets Authoritative Source Content
As part of it's role as regulator of securities firms and brokers, FINRA enacts rules and publishes guidance to protect investors and promote market integrity. FINRA Rules 2000-7000 cover various aspects regarding operations and transactions with customers as well as duties and practices with securities offerings.
This content pack contains the complete FINRA Rule Sets for the following:
2000 - Duties and Conflicts
3000 - Supervision and Responsibilities Relating to Associated Persons
4000 - Financial and Operational Rules
5000 - Securities Offering and Trading Standards and Practices
6000 - Quotation, Order, and Transaction Reporting Facilities
7000 - Clearing, Transaction and Order Data Requirements, and Facility Charges
The FINRA Rule Sets 2000-7000 Authoritative Source is available with the use of the Archer Policy Program Management, Archer IT Policy Program Management, and/or Archer Authorization and Assessment use cases. No additional license is required.
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