{"iri":"https://folio.openlegalstandard.org/RByTYA0fT7XewMNkfjX4oE2","label":"Financial Industry Regulatory Authority","sub_class_of":["https://folio.openlegalstandard.org/RwiYr04MwuGhJnwApa5Oua"],"parent_class_of":[],"is_defined_by":null,"see_also":[],"comment":null,"deprecated":false,"preferred_label":"FINRA","alternative_labels":["Broker-Dealer Regulator","Securities Industry Regulator","Securities Regulatory Authority"],"translations":{},"hidden_label":null,"definition":"The Financial Industry Regulatory Authority (FINRA) is a self-regulatory organization in the United States that oversees broker-dealers and their registered representatives. FINRA is responsible for enforcing rules and regulations in the securities industry to protect investors and maintain market integrity.","examples":[],"notes":[],"history_note":null,"editorial_note":null,"in_scheme":null,"identifier":null,"description":null,"source":null,"country":null}