Compliance Procedures. Broker agrees to supervise compliance with Applicable Law. Broker shall review transactions and accounts to assure compliance with prohibitions against manipulative practices and xxxxxxx xxxxxxx and other requirements of federal and state law and applicable regulatory and self-regulatory rules and regulations to which Broker or its customer are subject. Without limiting the above, Broker shall be responsible for compliance with the supervisory requirements in Section 15(b)(4) of the Securities Exchange Act of 1934, as amended, NASD Rule 3010, NYSE Rules 342, 351 and 431, and similar rules adopted by any other regulatory or self-regulatory agency or organization, to the extent applicable.
Appears in 2 contracts
Samples: www.sec.gov, Disclosed Clearing Agreement (Summit Financial Services Group Inc)
Compliance Procedures. Broker agrees to supervise compliance with Applicable Lawthe Rules. Broker shall review transactions and accounts to assure compliance with prohibitions against manipulative practices practices, xxxxxxx xxxxxxx, market timing and xxxxxxx xxxxxxx late trading of mutual fund shares and other requirements of federal and state law and applicable regulatory and self-regulatory rules and regulations to which Broker or its customer are subject. Without limiting the above, Broker shall be responsible for compliance with the supervisory requirements in Section 15(b)(4) of the Securities Exchange Act of 1934, as amended, NASD FINRA Rule 3010, NYSE FINRA Rules 342, 351 and 431, and similar rules adopted by any other regulatory or self-regulatory agency or organization, to the extent applicable.
Appears in 2 contracts
Samples: www.sec.gov, Disclosed Clearing Agreement (Summit Financial Services Group Inc)
Compliance Procedures. Broker agrees to supervise compliance with Applicable Lawthe Rules. Broker shall review transactions and accounts to assure compliance with prohibitions against manipulative practices practices, xxxxxxx xxxxxxx, market timing and xxxxxxx xxxxxxx late trading of mutual fund shares and other requirements of federal and state law and applicable regulatory and self-regulatory rules and regulations to which Broker or its customer are subject. Without limiting the above, Broker shall be responsible for compliance with the supervisory requirements in Section 15(b)(4) of the Securities Exchange Act of 1934, as amended, NASD FINRA Rule 3010, NYSE Rules 342, 351 and 431, and similar rules adopted by any other regulatory or self-regulatory agency or organization, to the extent applicable.
Appears in 2 contracts
Samples: Disclosed Clearing Agreement (Gleacher & Company, Inc.), Disclosed Clearing Agreement (Broadpoint Securities Group, Inc.)
Compliance Procedures. Broker agrees to supervise compliance with Applicable Lawthe Rules. Broker shall review transactions and accounts to assure compliance with prohibitions against manipulative practices and xxxxxxx xxxxxxx and other requirements of federal and state law and applicable regulatory and self-regulatory rules and regulations to which Broker or its customer are subject. Without limiting the above, Broker shall be responsible for compliance with the supervisory requirements in Section 15(b)(4) of the Securities Exchange Act of 1934, as amended, NASD Rule 3010, NYSE Rules 342, 351 and 431, and similar rules adopted by any other regulatory or self-regulatory agency or organization, to the extent applicable.
Appears in 1 contract
Samples: Agreement (Kbw, Inc.)
Compliance Procedures. Broker agrees to supervise compliance with Applicable Lawcomplixxxx xith the Rules. Broker shall review transactions and accounts to assure compliance with prohibitions against manipulative practices and xxxxxxx xxxxxxx insider trading and other requirements of federal requixxxxxxx xx xxderal and state law and applicable regulatory and self-regulatory rules and regulations to which Broker or its customer are subject. Without limiting the above, Broker shall be responsible for compliance with the supervisory requirements in Section 15(b)(4) of the Securities Exchange Act of 1934, as amended, NASD Rule 3010, NYSE Rules 342, 351 and 431, and similar rules adopted by any other regulatory or self-regulatory agency or organization, to the extent applicable.
Appears in 1 contract
Samples: Clearing Agreement (American Portfolios Holdings Inc)
Compliance Procedures. Broker agrees to supervise compliance with Applicable Lawthe Rules. Broker shall review transactions and accounts to assure compliance with prohibitions against manipulative practices and xxxxxxx xxxxxxx insider trading and other requirements of federal requirexxxxx xx xxxxxxl and state law and applicable regulatory and self-regulatory rules and regulations to which Broker or its customer are subject. Without limiting the above, Broker shall be responsible for compliance with the supervisory requirements in Section 15(b)(4) of the Securities Exchange Act of 1934, as amended, NASD Rule 3010, NYSE Rules 342, 351 and 431, and similar rules adopted by any other regulatory or self-regulatory agency or organization, to the extent applicable.
Appears in 1 contract
Samples: Clearing Agreement (American Portfolios Holdings Inc)
Compliance Procedures. Broker agrees to supervise compliance with Applicable Lawthe Rules. Broker shall review transactions and accounts to assure compliance with prohibitions against manipulative practices and xxxxxxx ixxxxxx xxxxxxx and other requirements of federal and state law and applicable regulatory and self-regulatory rules and regulations to which Broker or its customer are subject. Without limiting the above, Broker shall be responsible for compliance with the supervisory requirements in Section 15(b)(4) of the Securities Exchange Act of 1934, as amended, NASD Rule 3010, NYSE Rules 342, 351 and 431, and similar rules adopted by any other regulatory or self-regulatory agency or organization, to the extent applicable.
Appears in 1 contract
Samples: Disclosed Clearing Agreement (International Assets Holding Corp)
Compliance Procedures. Broker agrees to supervise compliance with Applicable Lawthe --------------------- Rules. Broker shall review transactions and accounts to assure compliance with prohibitions against manipulative practices and xxxxxxx xxxxxxx insider trading and other requirements of federal and state law axx xxxxxxxxxx xegulatory and applicable regulatory and self-self- regulatory rules and regulations to which Broker or its customer are subject. Without limiting the above, Broker shall be responsible for compliance with the supervisory requirements in Section 15(b)(4) of the Securities Exchange Act of 1934, as amended, NASD Rule 3010, NYSE Rules 342, 351 and 431, and similar rules adopted by any other regulatory or self-regulatory agency or organization, to the extent applicable.
Appears in 1 contract
Samples: Disclosed Clearing Agreement (Ziegler Companies Inc)
Compliance Procedures. Broker agrees to supervise compliance with Applicable Lawthe applicable Rules. Broker shall review transactions and accounts to assure compliance with prohibitions against manipulative practices and xxxxxxx xxxxxxx insider trading and other requirements othxx xxxxxxxxxxxs of federal and state law and applicable regulatory and self-regulatory rules and regulations to which Broker or its customer are subject. Without limiting the above, Broker shall be responsible for compliance with the supervisory requirements in Section 15(b)(4) of the Securities Exchange Act of 1934, as amended, NASD Rule 3010, NYSE Rules 342, 351 and 431, and similar rules adopted by any other regulatory or self-regulatory agency or organization, to the extent applicable.
Appears in 1 contract
Samples: Disclosed Clearing Agreement (Siebert Financial Corp)