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Regulators

Nine Risks that Power FINRA’s Exam & Surveillance Program - Video

January 18, 2017

Bill Wollman, FINRA’s Executive Vice President for the Office of ROOR; and Mike Rufino, FINRA’s Executive Vice President for the Office of Sales Practice, define the nine risks that inform FINRA’s risk-based examination and surveillance program, and provide examples of what staff looks for when assessing a firm’s risk.