FINRA arbitration and enforcement : a legal and practice guide /

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Bibliographic Details
Author / Creator:Cohen, Mark S., author.
Imprint:[Arlington, Va.] : Bloomberg BNA, [2014?]-
Description:1 online resource
Language:English
Series:Securities practice portfolio series ; portfolio 289
Securities practice portfolio series ; 289.
Subject:
Format: E-Resource Journal
URL for this record:http://pi.lib.uchicago.edu/1001/cat/bib/11805060
Hidden Bibliographic Details
Varying Form of Title:Financial Industry Regulatory Authority arbitration and enforcement
Other authors / contributors:Gresser, Lawrence, author.
Stewart, Charles E. (Charles Evan), 1952- author.
Tabak, Daniel H., author.
Silikovitz, Harvey B., author.
Bloomberg BNA, issuing body.
Frequency:Updated irregularly
Notes:Includes bibliographical references.
Description based on contents viewed on May 25, 2015; title from portfolio description screen.
Summary:"... examines proceedings involving the Financial Industry Regulatory Authority (FINRA) in its dual capacities as a forum for dispute resolution and as a securities industry regulator. The portfolio begins with a discussion of the FINRA arbitration process for the resolution of disputes between member firms, associated persons, and customers. Included is a review of the applicable arbitration codes, and an examination of prehearing matters, motion practice, hearings, and awards. This portion of the portfolio concludes with a discussion of the procedures for confirming, modifying and vacating arbitration awards. The portfolio then examines enforcement actions brought by FINRA against member firms and their associated persons. This chapter reviews FINRA investigations, the disciplinary proceeding process, and the procedures for appeals from or the review of decisions rendered in a FINRA disciplinary proceeding."