Series 82: 2.1.4. Member Supervisory Responsibilities And Procedures

Taken from our Series 82 Top-off Online Guide

2.1.4.  Member Supervisory Responsibilities and Procedures

By Section 15(b)(4) of the Exchange Act, the SEC may take punitive action against any broker-dealer that has willfully violated, enabled a violation of, or failed to supervise a violator of securities law and regulations. The Act goes on to say that no supervisor will have failed in his duties if a supervisory system and procedures have been established and dutifull

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