Year: 2010

The anti-money laundering and customer identification rules are important market policing tools monitored by the SEC, the Financial Crimes Enforcement Network or FinCEN and FINRA. Pinnacle Capital Markets LLC, a broker dealer whose customers are largely outside the United States, …

THE SEC, FINCEN AND FINRA SANCTION BROKER Read More »

The Moody’s Investors Services, Inc. Section 21(a) report released on August 31, 2010 gives an indication of the potential impact of Dodd-Frank. It is based on an existing limitation of the enforcement program, but reflects the removal of that impediment …

THE IMPACT OF DODD-FRANK – AND A WARNING TO RATING AGENCIES Read More »