WHAT IS FINANCIAL INDUSTRY REGULATORY AUTHORITY (FINRA)?

As the largest independent regulator for securities firms in the United States, FINRA (Financial Industry Regulatory Authority) plays a critical role in maintaining the integrity of the financial industry. With a primary objective of enforcing compliance with industry rules and regulations, FINRA is dedicated to fostering transparency, accountability, and investor protection.

Through its comprehensive regulatory framework, FINRA establishes rules and guidelines that govern the behavior and operations of securities firms and financial professionals. These regulations encompass various areas, including sales practices, professional qualifications, advertising, and dispute resolution. By diligently enforcing these rules, FINRA strives to promote ethical conduct, uphold market integrity, and bolster investor confidence.

At Welcome Funds, we recognize the significance of FINRA's regulatory oversight in ensuring a fair and trustworthy financial marketplace. As a life settlement broker, we adhere to the highest standards of compliance and ethics, providing our clients with confidence and peace of mind. Contact us today to learn more about how we operate under FINRA regulations and how we can assist you with your life settlement needs.

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