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FINRA Broker Allegations

Allegations against: Philip A Dina

Allegation type: Regulatory

Allegation status: Final

The allegations read: 06-02-00, nasd rules 2110 and 3010(a) - respondent failed to adequately supervise the activities of his firm's finop in that the firm continued to conduct a securities business despite the fact that it was not in net capital compliance on two occasions.

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