FINRA Unscripted show

FINRA Unscripted

Summary: FINRA Unscripted is the voice of the nation’s largest non-government securities regulator. We bring together FINRA leaders to discuss existing and emerging regulatory topics that impact the broker-dealer industry. We share best practices for compliance officers, insights into the operations of a 3,500 person self-regulated organization and educational tools and information for investors. Every investor in America relies on one thing: fair financial markets. That is what FINRA works every day to ensure.

Podcasts:

 Market Structure & COVID-19: Handling Increased Volatility and Volumes | File Type: audio/mpeg | Duration: 00:28:25

Market volatility in recent weeks has surpassed anything else in history in terms of both the extremity and duration. Despite that, the so-called plumbing of U.S. financial markets has held up remarkably well. On this episode, we talk to FINRA’s head of Market Regulation to learn how the evolution of U.S. market structure contributed to that resilience.

 Securities Helpline for Seniors: Celebrating 5 Years of Senior Investor Protection | File Type: audio/mpeg | Duration: 00:26:35

FINRA is committed to the protection of senior investors and other vulnerable adults. That’s why FINRA launched the Securities Helpline for Seniors. On this episode, we hear how the Helpline handles calls, frequent areas of concern and how the Helpline has evolved over the five years since its launch.

 Business in the Time of COVID-19: BCPs, Regulatory Relief & More | File Type: audio/mpeg | Duration: 00:18:59

The new coronavirus that causes COVID-19 has rapidly changed the way U.S. broker-dealers must conduct business as states implement various shelter-in-place and stay-at-home orders, forcing workers remote. On this episode, we talk to FINRA’s Chief Legal Officer and Head of Member Supervision to learn how FINRA is adapting its operations and providing important regulatory relief.

 The MAP Group: Gatekeeper to the Broker-Dealer Industry | File Type: audio/mpeg | Duration: 00:23:00

The MAP Group is the gatekeeper to the broker-dealer industry. It works both to protect investors by ensuring would-be firms meet FINRA’s standards of admission and to help new and existing firms grow and evolve, ensuring a vibrant market for all. On this episode, we learn more.

 FINRA & CE Council: Enhancing Industry Continuing Education | File Type: audio/mpeg | Duration: 00:25:14

The CE Council, FINRA and other CE Council members are working together on the biggest change to continuing education for broker dealers in 25 years. On this episode, we hear both the firm and regulatory perspective as we learn what will be changing in the years ahead.

 Advertising Regulation: Expect More Than Just Hype | File Type: audio/mpeg | Duration: 00:23:17

When deciding where and in what to invest, it’s important that investors understand the risks—not just the marketing hype. That’s why FINRA’s Advertising Regulation Group works to oversee broker-dealer communications to ensure that they are fair, balanced and not misleading. On this episode, we learn more.

 Encore | Insider Trading: Finding the Needle in the Haystack | File Type: audio/mpeg | Duration: 00:27:24

More than 15,000 different stocks, options and bonds trade every day across millions of transactions. When it comes to detecting insider trading, it really is like finding a needle in a haystack. But that’s exactly what Sam Draddy and his team in the Office of Fraud Detection and Market Intelligence group do. Learn how in this encore episode of FINRA Unscripted.

 What Fees?: A Look at American Investor Knowledge | File Type: audio/mpeg | Duration: 00:24:52

How many Americans are investing in non-retirement accounts? How are they making decisions about where to put that hard-earned cash? How much do they truly understand about investing? And how has this all changed over time? On this episode, we dig into the FINRA Foundation’s latest study to uncover the answers to these questions and more.

 What to Expect: The 2020 Exam and Risk Monitoring Program | File Type: audio/mpeg | Duration: 00:25:36

The 1920s was a period of great change and transition and the 2020s are shaping up to be the same—at least for FINRA’s Examination and Risk Monitoring program. On this episode, we kick off the new Roaring 20s with a look at what to expect from the program in the year ahead.

 A Career Highlight: Exam and Risk Monitoring Program Transformation Update | File Type: audio/mpeg | Duration: 00:20:51

FINRA’s examination and risk monitoring program is in the midst of a largescale transformation to make FINRA a more effective, agile and risk-focused regulator. On this episode, Executive Vice President Bari Havlik provides an update on where the group is one year later.

 Encore | How FINRA Rules Get Made (And Reviewed) | File Type: audio/mpeg | Duration: 00:23:11

An economist and a lawyer walk into a room. This isn’t the start of a bad joke, it’s an integral part of FINRA’s rule making process. At FINRA, economists and lawyers work closely together to ensure that FINRA’s rules are as effective and as tailored as possible. On this episode, we learn more.

 The Buildathon: Creating New Technology in Service of Investors | File Type: audio/mpeg | Duration: 00:28:48

Hackathons aren’t new. But what about a Buildathon? On this episode, we learn about a unique collaboration between FINRA, the private sector and academia that challenged some of the best technology students to solve common problems faced by everyday investors.

 2019 Ketchum Prize: The Evolving World of Retirement Security | File Type: audio/mpeg | Duration: 00:28:21

Dr. Olivia S. Mitchell’s research into the evolving world of retirement security earned her the 2019 Ketchum Prize, the FINRA Foundation’s highest honor. On this episode, Dr. Mitchell discusses her research and how the way Americans think about and plan for retirement is changing.

 Regulation Best Interest: Preparing for a New Standard of Conduct | File Type: audio/mpeg | Duration: 00:23:13

Soon brokerage firms will have to comply with a new standard of conduct when working with retail clients with the implementation of Regulation Best Interest. What is the new standard? What will firms need to do to comply? Tune in to learn more from FINRA’s Chief Legal Officer.

 Market Regulation Enforcement: Ensuring Market Integrity | File Type: audio/mpeg | Duration: 00:18:37

What happens if a brokerage firm doesn’t report trading information appropriately? At first, it might seem like it isn’t a big deal – just a data issue. But is vital. Accurate market data is at the foundation of FINRA’s efforts to ensure the integrity of our markets.

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