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Re: None

Monday, 09/17/2012 12:14:43 PM

Monday, September 17, 2012 12:14:43 PM

Post# of 111938
Here is what the SEC has to say about suspensions:

http://www.sec.gov/investor/alerts/tradingsuspensions.pdf

It seems that after a suspension some paperwork would need to be filed to get the stock trading again.

"a broker-dealer must file a Form 211 with the Financial Industry Regulatory Authority (“FINRA”) representing that it has satisfied all applicable requirements, including those of Rule 15c2-11 and FINRA Rule 6432."