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Thursday, May 06, 2010 8:53:36 AM
Posed the question of why all the bs excuses over the months.... also forwarded everything to FINRA & SEC.
FINRA File 0100217042 still open according to them.
I also asked FINRA if "membership has its privileges". while asking the SEC the same question about membership privileges at FINRA.
FINRA says they are doing investigating...imo it isn't fast enough.
Told them that TDA & Scott Trade should be next on the SEC's agenda after Goldman Sachs. I also asked for an explanation as to why Roger Riney, CEO of Scott trade gets away with being on the board of Knight Trading, which is clearly a conflict of interest.
Tufan....heard anything lately????????
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