Notice 17 Jun 2025 compliance, sec, regulatory changes, securities, finra, public offerings, private placements

📈FINRA Modifies Implementation Schedule of Securities Fees

The SEC published a notice regarding FINRA's proposed rule change to modify the implementation schedule for fees associated with filing documents under the securities offering rules. This adjustment aims to provide member firms and issuers additional time for budgeting and operational changes related to new fees for private placements and public offering reviews.

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Notice 16 Jun 2025 regulatory changes, securities, finra, investor protection, capital acquisition broker, private placements

📈FINRA Proposes Amendments to CAB Rules for Capital Formation

The Securities and Exchange Commission (SEC) has published a notice regarding proposed changes to the FINRA Capital Acquisition Broker (CAB) Rules. These amendments aim to modernize regulatory frameworks related to capital formation, allowing CABs to act as intermediaries in secondary securities transactions and broadening the definition of institutional investors eligible for investment. The changes are designed to enhance efficiency while maintaining necessary investor protections.

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