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Company: Southwest Securities, Inc.
Current Parent Company:
Hilltop Holdings
Parent at the Time of the Penalty Announcement:
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Recap of Ownership Changes:
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Penalty: $36,971
Year: 2004
Date: February 12, 2004
Offense Group: financial offenses
Primary Offense: investor protection violation
Violation Description: NASD announced enforcement and disciplinary actions against a total of 15 firms for failure to deliver mutual fund breakpoint discounts during 2001 and 2002.
Level of Government: federal
Action Type: agency action
Agency: Financial Industry Regulatory Authority
Civil or Criminal Case: civil
HQ Country of Current Parent: USA
HQ State of Current Parent: Texas
Ownership Structure of Current Parent: publicly traded
Major Industry of Current Parent: financial services
Specific Industry of Current Parent: banking, brokerage and insurance
Source of Data:
(click here)
Notes: FINRA is a securities industry self-regulatory body authorized by the federal government. This case was handled by its predecessor, the National Association of Securities Dealers (NASD).
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Current parent company note: Parent-subsidiary relationship is current as of the most recent revision listed in the
Update Log.