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TRENDING TAGS
Stories of Interest
- Sarah ten Siethoff is New Associate Director of SEC Investment Management Rulemaking Office
- Catherine Keating Appointed CEO of BNY Mellon Wealth Management
- Credit Suisse to Pay $47Mn to Resolve DOJ Asia Probe
- SEC Chair Clayton Goes 'Hat in Hand' Before Congress on 2019 Budget Request
- SEC's Opening Remarks to the Elder Justice Coordinating Council
- Massachusetts Jury Convicts CA Attorney of Securities Fraud
- Deutsche Bank Says 3 Senior Investment Bankers to Leave Firm
- World’s Biggest Hedge Fund Reportedly ‘Bearish On Financial Assets’
- SEC Fines Constant Contact, Popular Email Marketer, for Overstating Subscriber Numbers
- SocGen Agrees to Pay $1.3 Billion to End Libya, Libor Probes
- Cryptocurrency Exchange Bitfinex Briefly Halts Trading After Cyber Attack
- SEC Names Valerie Szczepanik Senior Advisor for Digital Assets and Innovation
- SEC Modernizes Delivery of Fund Reports, Seeks Public Feedback on Improving Fund Disclosure
- NYSE Says SEC Plan to Limit Exchange Rebates Would Hurt Investors
- Deutsche Bank faces another challenge with Fed stress test
- Former JPMorgan Broker Files racial discrimination suit against company
- $3.3Mn Winning Bid for Lunch with Warren Buffett
- Julie Erhardt is SEC's New Acting Chief Risk Officer
- Chyhe Becker is SEC's New Acting Chief Economist, Acting Director of Economic and Risk Analysis Division
- Getting a Handle on Virtual Currencies - FINRA
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NEWSLETTERS & ALERTS
Pitching FINRA as SRO for Investment Advisers
June 5, 2012
The House Committee on Financial Services will hear testimony on Wednesday morning, 6/6/12, on House of Representatives Bill H.R. 4624, commonly referred to as the "Investment Adviser Oversight Act of 2012. Representative Spencer Bachus (R-AL) will chair the hearing.
Six witnesses are scheduled to appear, including Richard 'Rick' Ketchum, Chairman and CEO of FINRA. The others are:
- Mr. Dale Brown, President and CEO, Financial Services Institute.
- Mr. Thomas Currey, Past President, Nat'l Assoc. of Insurance and Fincl Advisors.
- Mr. Chet Helck, COO, Raymond James Financial Inc., on behalf of SIFMA.
- Mr. Richard Ketchum, Chairman and CEO, FINRA.
- Mr. John Morgan, Securities Commissioner of Texas, on behalf of NASAA.
- Mr. David Tittsworth, Exec. Director and EVP, Investment Adviser Assoc'n.

