Tag Archives: Disciplinary Actions

Attorney Patrick Mahoney Quoted in Investment News Concerning Broker Disciplinary Records

In response to the SEC’s approval of FINRA’s request to share more information about brokers’ disciplinary records, Patrick Mahoney was featured in the Investment News article entitled: FINRA gets OK to share more info about reps’ disciplinary records. In short, the article highlights the fact that FINRA will now be making available even more detailed information […]