Law Blog Tag: Securities Exchange Act Rule 17a-4(b)

FINRA Issues New Guidance On Communications With The Public, Including Social Media

August 22, 2017 in FINRA, FINRA Compliance, FINRA Rules

In April 2017 FINRA issued Regulatory Notice 17-18 providing additional guidance on the use of social media and digital communications by member firms and persons associated with member firms. The guidance specifically relates to FINRA Rule 2210 – Communications with the Public, and supplements previously issued guidance in Regulatory Notices 10-06 and 11-39, published in 2011. The new guidance Read the full article…