Tag: Broker Compliance

New ACA Broker Regulations to Combat Fraud and Enrollment Drops

Learn about new ACA broker regulations targeting fraud prevention as enrollment declines. Compliance is crucial for successful applications during open enrollment.

Investor Complaint Filed Against Broker Jason Min Over Variable Annuity Disclosure

An investor has filed a complaint against California broker Jason Min, alleging misleading disclosure about surrender charges on variable annuities. The case underscores regulatory importance of suitability and transparent fee disclosure under FINRA rules.