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Articles Posted in NASD Rule 2510(b)

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Broker James Tallant Suspended Over Allegations of Excessive Trading and Quantitative Unsuitable Investments

The Financial Industry Regulatory Authority (FINRA) suspended broker James Glenn Tallant (Tallant) for three months and fined him $15,000 including the disgorgement of $8,560.44 in commissions.  FINRA alleged that Tallant exercised discretionary trading authority without written authorization in four securities accounts in violation of NASD Conduct Rule 2510(b) and FINRA…

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