Explore the pivotal role of the Securities and Exchange Commission (SEC) in regulating U.S. securities markets, enforcing laws, and protecting investors. Learn about its functions, enforcement actions, and the importance of compliance in the securities industry.
Explore the role of FINRA in regulating broker-dealers, enforcing ethical conduct, and providing investor resources. Learn how FINRA's oversight ensures compliance with industry standards and protects investors.
Explore the intricacies of insider trading laws, including the distinction between legal and illegal activities, key regulations, and the severe penalties for violations. Learn through real-world examples and case studies.
Explore the intricacies of market manipulation and fraud in the securities industry. Learn how these deceptive practices impact investor confidence and market efficiency, and discover strategies to safeguard your investments.
Explore the growing importance of ethical investing and corporate governance in today's financial markets. Learn how these principles impact shareholder rights, company performance, and investment strategies.