JORDEN BURT ALERT: FINRA Proposes Changes to Rule Governing Investment Company Securities June 25, 2009
In FINRA Regulatory Notice 09-34 (June 17, 2009), FINRA requested comment on a proposed consolidated FINRA rule regarding the distribution and sale of investment company securities. Proposed FINRA Rule 2341 is based on and would replace NASD Rule 2830, which currently regulates member firms' activities in connection with the distribution and sale of investment company securities.
To read the Client Alert, click below:
FINRA Proposes Changes to Rule Governing Investment Company Securities
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