Close

Articles Posted in Essex Securities

Updated:

FINRA Sanctions Essex Securities for Failing to Supervise Mutual Fund Switching

The Financial Industry Regulatory Authority (FINRA), in an acceptance, waiver, and consent action (AWC), sanctioned brokerage firm Essex Securities, LLC (Essex Securities) alleging that from February 2010, through March 2011, Essex Securities through one of its brokers violated industry rules by engaging in a pattern of unsuitable mutual fund switching,…

Contact Us