2017 Year in Review: Select SEC and FINRA Developments and Enforcement Cases

February 2018

Morgan Lewis marks its 12th year of publishing its SEC and FINRA Year in Review, a comprehensive summary and analysis of the practices, developments, considerations, and enforcement actions of the US Securities and Exchange Commission and Financial Industry Regulatory Authority.

This report includes key SEC and FINRA enforcement developments and cases involving broker-dealers, investment advisers, investment companies, and their employees.

View the full 2017 Year in Review >>