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Broker Robert Acri Barred Over Failure to Respond to FINRA Investigation

The Financial Industry Regulatory Authority (FINRA) recently barred broker Robert Acri (Acri) concerning allegations that in December 2013, and January 2014, Acri failed to fully respond to a Rule 8210 request for documents and information concerning Acri’s sale of alternative investments and promissory notes. Acri first entered the securities industry…

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