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Investment Adviser Oversight Act of 2012 - FINRA Responds

April 25, 2012
"The bipartisan bill, Investment Adviser Oversight Act of 2012, introduced today is an important and thoughtful effort to address a serious gap in investor protection.  The bill recognizes the need for regular exams of investment advisers, while rightly focusing on retail accounts. "As FINRA has said, the current level of IA exams is unacceptable, and SROs can help fill this untenable gap in the protection of investment advisory clients." [FINRA News Release, 4/25/12]