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December 21, 2010

Ron Roge’s Modest Proposal on FINRA as RIAs’ SRO: A Role for the CFP Board?

Bob Clark My friend Ron Roge, a veteran independent advisor in Bohemia, N.Y., sent an e-mail in response to my last blog on FINRA’s proposal to test RIAs. He raises an issue that’s well worth exploring. (Perhaps especially now that FSI, the independent broker-dealer organization, has officially endorsed the notion of FINRA serving as the...
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