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FINRA offers Options Regulation Conference

February 6, 2014

Options Regulation Conference
February 6, 2014
1 p.m. to 3 p.m. Central Time
In-Person or Conference Call

FINRA’s Market Regulation department is hosting a free two-hour conference to discuss regulatory issues with firms that trade in the options markets. The conference includes a panel of legal representatives from the options industry, including senior representatives from FINRA and CBOE, as well as an industry practitioner. The conference also includes a question-and-answer session. Participants can attend in-person at FINRA’s Chicago district office (55 West Monroe St. in Chicago), or participate over the phone.

www.mmsend6.com/link.cfm

Details

Date:
February 6, 2014
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