Investor Bulletin: Please Consider Adding a Trusted Contact to Your Account

Mar 4, 2020
The SEC’s Office of Investor Education and Advocacy and the Financial Industry Regulatory Authority (FINRA) are issuing this Investor Bulletin to urge you to consider adding a “trusted contact person” to your brokerage account.
CategoryTrading and Markets

Three Tips for World Investor Week 2019: Investor Bulletin

Oct 1, 2019
The SEC’s Office of Investor Education and Advocacy, the Commodity Futures Trading Commission (CFTC), the North American Securities Administrators Association (NASAA), and the Financial Industry Regulatory Authority (FINRA) are issuing this Investor Bulletin to highlight key messages from World Investor Week 2019, a global campaign to raise awareness about the importance of investor education and protection. From October 1-7, 2019, investors, investment professionals, teachers, parents, researchers, and others are encouraged to make a special effort to promote investor education. Here are a…
CategoryEnforcement
Trading and Markets

Investor Bulletin: How to Select an Investment Professional

Jul 1, 2019
Choosing an investment professional is an important decision. This updated Investor Bulletin provides a few key tips to help you make a well-informed choice. A number of questions you should consider asking before you hire an investment professional are in our investor bulletin “Questions to Ask When Hiring an Investment Professional.” Should you have any questions for us, feel free to call our toll-free investor assistance line at 1-800-SEC-0330 or use our online question web form at https://www.sec.gov/oiea/QuestionsAndComments.html.
CategoryInvestment Management
Trading and Markets

Investor Bulletin: Questions to Ask when Hiring an Investment Professional

Jun 27, 2019
Before investing in stock or other securities, you may decide to seek the help of an investment professional. Selecting this investment professional is an important decision. This Investor Bulletin provides you with questions you should ask before hiring any investment professional.
CategoryInvestment Management
Trading and Markets

Updated Investor Bulletin: How to Check Out Your Investment Professional

May 29, 2019
The SEC’s Office of Investor Education and Advocacy is issuing this investor bulletin to explain how to check out an investment professional’s registration status and background.
CategoryInvestment Management
Trading and Markets

Investor Bulletin: The Escheatment Process

Mar 12, 2019
The SEC’s Office of Investor Education and Advocacy is issuing this Investor Bulletin to provide basic information about the escheatment process for investment accounts.
CategoryTrading and Markets

Investor Bulletin: Trading Suspensions – What Happens When They End?

Mar 4, 2019
The SEC’s Office of Investor Education and Advocacy is issuing this Investor Bulletin to answer some of the questions we receive from investors about what happens at the end of a trading suspension.
CategoryEnforcement
Trading and Markets

Investor Bulletin: World Investor Week 2018

Oct 1, 2018
The SEC’s Office of Investor Education and Advocacy, FINRA, the Commodity Futures Trading Commission (CFTC), and the North American Securities Administrators Association (NASAA) are issuing this Investor Bulletin to highlight key messages from World Investor Week 2018. 
CategoryEnforcement
Trading and Markets

Investor Bulletin: FINRA’s New Account Protection Rule - Trusted Contacts

May 8, 2018
The SEC’s Office of Investor Education and Advocacy is issuing this Investor Bulletin to provide investors with information about a new rule from the Financial Industry Regulatory Authority (FINRA) to help protect investors from financial exploitation and fraud.
CategoryEnforcement
Trading and Markets

Investor Bulletin: Top 10 of 2017

Dec 21, 2017
With 2017 coming to a close, here are the SEC Office of Investor Education and Advocacy’s top 10 most popular Investor Alerts and Bulletins for the year.  These resources, all available on Investor.gov, can help you make more informed investment decisions – and avoid investment fraud – in 2018.  If you have questions, don’t hesitate to contact us at help@sec.gov, our online question form, or on our toll-free investor assistance line at (800) 732-0330.
CategoryEnforcement
Trading and Markets

Investor Bulletin: Understanding Your Brokerage Account Statement

Dec 5, 2017
The Securities and Exchange Commission’s (SEC) Office of Investor Education and Advocacy and the Office of Public Affairs have created an interactive brokerage account statement to help you better understand the information in your account statement and to highlight certain information to look out for when reviewing this statement.
CategoryTrading and Markets

Investor Bulletin: Financial Professionals’ Use of Professional Honors – Awards, Rankings, and Designations

Sep 14, 2017
The SEC’s Office of Investor Education and Advocacy is issuing this Investor Bulletin to educate individual investors about the professional awards, rankings, and designations that financial professionals often use to market themselves to prospective clients.
CategoryInvestment Management
Trading and Markets

Updated Investor Bulletin: Trading in Cash Accounts

Sep 12, 2017
The SEC’s Office of Investor Education and Advocacy is issuing this Investor Bulletin to help educate investors regarding the rules that apply to trading securities in cash accounts and to highlight the 90-day account freeze which may arise with certain trading activities in these type of accounts.
CategoryTrading and Markets

Updated Investor Bulletin: New “T+2” Settlement Cycle – What Investors Need To Know

Aug 22, 2017
On March 22, 2017, the Securities and Exchange Commission amended Exchange Act Rule 15c6-1 to shorten the standard settlement cycle for broker-dealers transaction from “T+3” to “T+2,” subject to certain exceptions.  The SEC’s Office of Investor Education and Advocacy (OIEA) is issuing this investor bulletin to explain the new “T+2” settlement cycle and how it will affect certain transactions you place with your full-service or online brokerage firm.
CategoryTrading and Markets

Updated Investor Bulletin: Retirement Investing Through 403(b) and 457(b) Plans

Jul 20, 2017
The SEC’s Office of Investor Education and Advocacy is issuing this Investor Bulletin to provide investors with educational information about the basics of retirement investing through 403(b) and 457(b) plans.
CategoryTrading and Markets

Investor Bulletin: Stop, Stop-Limit, and Trailing Stop Orders

Jul 13, 2017
The SEC’s Office of Investor Education and Advocacy is issuing this Investor Bulletin to help educate investors about the difference between using “stop,” “stop limit” and “trailing stop” orders to buy and sell stocks.
CategoryTrading and Markets

Investor Bulletin: Understanding Order Types

Jul 12, 2017
The SEC’s Office of Investor Education and Advocacy is issuing this Investor Bulletin to help educate investors about the different types of orders they can use to buy and sell stocks through a brokerage firm. 
CategoryTrading and Markets

Investor Bulletin: Broker-Dealer/Customer Arbitration

Dec 20, 2016
The SEC’s Office of Investor Education and Advocacy is issuing this Investor Bulletin to help educate investors about the arbitration and mediation processes involving a customer dispute with a broker-dealer.
CategoryTrading and Markets

Investor Bulletin: Microcap Stock Basics (Part 3 of 3: Risk)

Oct 21, 2016
The SEC’s Office of Investor Education and Advocacy is issuing a series of three Investor Bulletins to provide investors with important information to consider before investing in microcap stocks, often known as penny stocks. The Bulletins provide a general overview of microcap stocks and their marketplaces, a list of sources to research microcap stocks, and a list of “red flags” of fraud and other important factors to consider before making an investment in microcap stocks.
CategoryEnforcement
Trading and Markets

Investor Bulletin: Microcap Stock Basics (Part 2 of 3: Research)

Oct 14, 2016
The SEC’s Office of Investor Education and Advocacy is issuing a series of three Investor Bulletins to provide investors with important information to consider before investing in microcap stocks often known as penny stocks.  The Bulletins provide a general overview of microcap stocks and their marketplaces, a list of sources to research microcap stocks, and a list of “red flags” of fraud and other important factors to consider before making an investment in microcap stocks.
CategoryTrading and Markets

Investor Alert: Tick Size Pilot Program – What Investors Need To Know

Oct 3, 2016
Beginning October 3, 2016, a new National Market System (NMS) Plan to implement a Tick Size Pilot Program (the “pilot”) will widen the minimum quoting and trading increment —sometimes called the “tick size” — for some small capitalization stocks.  The goal of the pilot is to study the effect of tick size on liquidity and trading of small capitalization stocks. The Financial Industry Regulatory Authority (FINRA) and the Securities and Exchange Commission’s (SEC) Office of Investor Education and Advocacy (OIEA) are issuing this investor alert to explain the pilot and how it might affect…
CategoryTrading and Markets

Investor Bulletin: Microcap Stock Basics (Part 1 of 3: General Information)

Sep 30, 2016
The SEC’s Office of Investor Education and Advocacy is issuing a series of three Investor Bulletins to provide investors with important information to consider before investing in microcap stocks, often known as penny stocks. The Bulletins provide a general overview of microcap stocks and their marketplaces, a list of sources to research microcap stocks, and a list of “red flags” of fraud and other important factors to consider before making an investment in microcap stocks.
CategoryTrading and Markets

DTC Chills and Freezes

Feb 23, 2016
The SEC’s Office of Investor Education and Advocacy is issuing this Investor Bulletin to help educate investors about the effects of chills and freezes on an investor’s ability to hold and trade securities. A “chill” is a limitation of certain services available for a security on deposit at The Depository Trust Company (“DTC”). A “freeze,” formally referred to as a “global lock,” is a complete restriction on all DTC services for a particular security on deposit at DTC.
CategoryTrading and Markets

Investor Bulletin: 10 Investment Tips for 2016

Jan 7, 2016
Whether you are a first-time investor or have been investing for years, here are ten tips from the SEC’s Office of Investor Education and Advocacy to help you make more informed investing decisions and avoid common scams in 2016.
CategoryEnforcement
Trading and Markets

Investor Alert: Securities-Backed Lines of Credit

Dec 21, 2015
An increasing number of securities firms are marketing and offering securities-backed lines of credit, or SBLOCs, to investors. SBLOCs can be a key revenue source for securities firms, especially in times of solid market returns and growing investment portfolios, when investors may feel more comfortable leveraging their assets. Firms market SBLOCs as a type of financing and liquidity strategy that can unlock the value of your investment portfolio. Between 2012 and 2014, one large brokerage firm that offers these programs reported a 70 percent increase in its securities-based lending business…
CategoryTrading and Markets