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FINRA publishes Notices to provide firms with timely information on a variety of issues.  To obtain a Notice published prior to 1995, please contact FINRA MediaSource at (240) 386-4200.

Publication Date Title Description
Regulatory Notice 22-12
FINRA Adopts Amendments to TRACE Reporting Rule to Require Identification of Portfolio Trades
Effective Date: May 15, 2023
Election Notice – 05/16/22
Nominee for Upcoming FINRA Board of Governors Election
Petitions for Candidacy Due: Thursday, June 30, 2022
Information Notice – 05/06/22
March 2022 Options Disclosure Document
Special Notice – 4/22/22
2022 Election Process Overview
Information Notice - 4/21/22
New Rate for Fees Paid Under Section 31 of the Exchange Act
Effective Date: May 14, 2022
Information Notice 4/19/22
FINRA Membership Application Program Transformation
Regulatory Notice 22-11
FINRA Reminds Firms of Their Sales Practice Obligations for Alternative Mutual Funds
Special Notice – 3/31/22
FINRA Encourages Engagement in Advisory Committees
Regulatory Notice 22-10
FINRA Reminds Member Firms of the Scope of FINRA Rule 3110 as it Pertains to the Potential Liability of Chief Compliance Officers for Failure to Discharge Designated Supervisory Responsibilities
Regulatory Notice 22-09
FINRA Requests Comment on a Proposed Rule to Accelerate Arbitration Proceedings for Seriously Ill or Elderly Parties
Comment Period Expires: May 16, 2022
Regulatory Notice 22-08
FINRA Reminds Members of Their Sales Practice Obligations for Complex Products and Options and Solicits Comment on Effective Practices and Rule Enhancements
Comment Period: May 9, 2022
Regulatory Notice 22-07
GASB Accounting Support Fee
2022 GASB Accounting Support Fee to Fund the Governmental Accounting Standards Board
Regulatory Notice 22-06
U.S. Imposes Sanctions on Russian Entities and Individuals
FINRA Alerts Firms to Sanctions
Regulatory Notice 22-05
FINRA Adopts Amendments to FINRA Rule 2165
Effective Date: March 17, 2022
Information Notice 2/1/22
FINRA Announces Rule 4111 (Restricted Firm Obligations) Evaluation Date
Regulatory Notice 22-04
FINRA Reminds Member Firms of Obligation to Execute Marketable Customer Orders Fully and Promptly
Regulatory Notice 22-03
FINRA Adopts Amendments to Clarify the Application of FINRA Rules to Security-Based Swaps
Effective Dates: February 6, 2022 (Rules 0180, 4120 and 9610) and April 6, 2022 (Rules 4210, 4220 and 4240)
Regulatory Notice 22-02
FINRA Amends Rule 2251 Regarding Reimbursement Rates for Processing and Forwarding Proxy and Other Issuer-Related Materials
Effective Date: Immediate
Regulatory Notice 22-01
Final Statements for Broker-Dealers, Investment Adviser Firms, Agents and Investment Adviser Representatives, and Branches
Regulatory Notice 21-45
FINRA Announces Update of the Interpretations of Financial and Operational Rules
Regulatory Notice 21-44
Business Continuity Planning and Lessons From the COVID-19 Pandemic
Regulatory Notice 21-43
Proposed Amendments to FINRA Rule 3240 and Retrospective Rule Review Report
Comment Period Expires: February 14, 2022
Election Notice – 12/15/21
FINRA Announces SFAC, Regional Committee and NAC Election Results and Appointments
Regulatory Notice 21-42
FINRA Alerts Firms to “Log4Shell” Vulnerability in Apache Log4j Software
Information Notice 11/23/21
FINRA Reminds Firms of Exercise Cut-Off Time for Options Expiring on the Friday After Thanksgiving
Regulatory Notice 21-41
FINRA Amends Rules 1210 and 1240 to Enhance the Continuing Education Program for Securities Industry Professionals
Effective Dates: March 15, 2022 (MQP (paragraph (c) of Rule 1240) and FSAWP (Rule 1210.09)); January 1, 2023 (all other rule changes)
Information Notice 11/12/21
2022 and First Quarter of 2023 Report Filing Due Dates
Regulatory Notice 21-40
FINRA Requests Comment on Amendments to Rule 11880 Shortening the Settlement of Syndicate Accounts
Comment Period Expires: January 18, 2022
Regulatory Notice 21-39
Broker-Dealer, Investment Adviser Firm, Agent and Investment Adviser Representative, and Branch Renewals for 2022
Payment Deadline: Dec. 13, 2021
Regulatory Notice 21-38
FINRA Announces Closure of the OTC Bulletin Board
Effective Date: November 8, 2021
Regulatory Notice 21-37
The National Adjudicatory Council (NAC) Revises the Sanction Guidelines
Effective Immediately
Election Notice – 10/19/21
Notice of FINRA Regional Committee Elections and Mailing of Ballots
Ballots Due: November 18, 2021
Election Notice – 10/19/21
Notice of SFAC Election and Mailing of Ballots
Ballot Due Date: November 18, 2021
Information Notice 10/15/21
2022 Holiday Margin Extensions Schedule
Regulatory Notice 21-36
FINRA Encourages Firms to Consider How to Incorporate the Government-wide Anti-Money Laundering and Countering the Financing of Terrorism Priorities Into Their AML Programs
Regulatory Notice 21-35
FINRA Requests Comment on Proposed Order Routing Disclosure Requirements for OTC Equity Securities and Potential Steps to Facilitate Investor Access to Current Order Routing Disclosures for NMS Securities
Comment Period Expires: December 6, 2021
Regulatory Notice 21-34
FINRA Adopts Rules to Address Firms With a Significant History of Misconduct
Effective Date: January 1, 2022
Regulatory Notice 21-33
FINRA Adopts Amendments to Rule 6432 Regarding Compliance With the Information Requirements of SEC Rule 15c2-11
Effective Date: September 28, 2021
Regulatory Notice 21-32
FINRA Requests Comment on Its Policy Relating to the Assignment of OTC Symbols to Unlisted Equity Securities
Comment Period Expires: November 15, 2021
Regulatory Notice 21-31
FINRA Establishes New Supplemental Liquidity Schedule (SLS)
Effective Date: March 1, 2022. The first SLS must be completed as of the end of March 2022 and will be due by May 4, 2022.
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