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Re: None

Tuesday, 02/26/2013 10:02:26 AM

Tuesday, February 26, 2013 10:02:26 AM

Post# of 111836
So if FINRA is supposed to "protect" investors, which investors are they protecting? Current or Future? If it is future and they decide not to add MIKP back to the boards, what is the recourse for the current shareholders? We were all future shareholders once. Could FINRA be held accountable for not "protecting" us?
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