FINRA’s Changes to Continuing Education
FINRA has adopted important changes to its continuing education (CE) [...]
FINRA has adopted important changes to its continuing education (CE) [...]
On December 1, 2020, the state of New York adopted [...]
MasterCompliance continues to provide clients and the public with guidance [...]
The North American Securities Administrators Association ("NASAA") recently adopted a new rule that will require Investment Advisor Representatives ("IARs") to complete 12 credit hours of Continuing Education annually.
The Securities Industry/Regulatory Council on Continuing Education (CE Council) recently [...]
FINRA Rule 1250(b) discusses FINRA’s Firm Element continuing education requirements. [...]
Annual broker-dealer training should be derived from relevant regulatory and/or [...]
FINRA has established a Web-based delivery method for completing the [...]