Basic Search  |  Summaries  |  Advanced Search

Violation Tracker Individual Record

Company: Investors Capital Corp.
Penalty: $25,000
Year: 2009
Date: March 23, 2009
Offense Group: financial offenses
Primary Offense: investor protection violation
Violation Description: FINRA fined 25 broker-dealers a total of $2,145,000 for failures related to their completion of FINRA's (then NASD's) firm self-assessment of mutual fund breakpoint discount compliance.
Level of Government: federal
Action Type: agency action
Agency: Financial Industry Regulatory Authority
Civil or Criminal Case: civil
Source of Data(click here)
Notes: FINRA is a securities industry self-regulatory body authorized by the federal government.
Source Notes: If an online information source is not working, check the Violation Tracker Data Sources page for an updated link.
Current parent company note: Parent-subsidiary relationship is current as of the most recent revision listed in the Update Log.