Financial Industry Regulatory Authority, Inc. - Strategic SWOT Analysis Review

Date: November 14, 2017
Pages: 27
Price:
US$ 125.00
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Publisher: GlobalData
Report type: Strategic Report
Delivery: E-mail Delivery (PDF)
ID: F28A257E0C1EN
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Financial Industry Regulatory Authority, Inc. - Strategic SWOT Analysis Review
Financial Industry Regulatory Authority, Inc. - Strategic SWOT Analysis Review provides a comprehensive insight into the company’s history, corporate strategy, business structure and operations. The report contains a detailed SWOT analysis, information on the company’s key employees, key competitors and major products and services.

This up-to-the-minute company report will help you to formulate strategies to drive your business by enabling you to understand your partners, customers and competitors better.

Scope
  • Business description – A detailed description of the company’s operations and business divisions.
  • Corporate strategy – GlobalData’s summarization of the company’s business strategy.
  • SWOT analysis – A detailed analysis of the company’s strengths, weakness, opportunities and threats.
  • Company history – Progression of key events associated with the company.
  • Major products and services – A list of major products, services and brands of the company.
  • Key competitors – A list of key competitors to the company.
  • Key employees – A list of the key executives of the company.
  • Executive biographies – A brief summary of the executives’ employment history.
  • Key operational heads – A list of personnel heading key departments/functions.
  • Important locations and subsidiaries – A list of key locations and subsidiaries of the company, including contact details.
Highlights

Financial Industry Regulatory Authority, Inc. (FINRA) is an independent not-for-profit organization regulator for all securities firms operating business in the US. It oversees the US brokerage firms, branch offices and registered securities representatives. It writes and enforces rules governing the activities of brokerage firms; examines firms for compliance with those rules; fosters market transparency; and educates investors. The authority provides registration, dispute resolution, federal securities and market surveillance services. It protects investors and provides the principles of saving and investing. The authority operates through offices across the US. FINRA is headquartered in Washington DC, the US.

Financial Industry Regulatory Authority, Inc. Key Recent Developments

Oct 26,2017: FINRA's head of regulatory operations Axelrod to step down
Jul 26,2017: FINRA promotes Susan Schroeder to head of Enforcement
Jun 29,2017: Finra board elects William Heyman chairman
Jun 29,2017: William Heyman elected chairman of FINRA Board of Governors
Jan 30,2017: FINRA names senior vice president for corporate communications

Reasons to Buy
  • Gain key insights into the company for academic or business research purposes. Key elements such as SWOT analysis and corporate strategy are incorporated in the profile to assist your academic or business research needs.
  • Identify potential customers and suppliers with this report’s analysis of the company’s business structure, operations, major products and services and business strategy.
  • Understand and respond to your competitors’ business structure and strategies with GlobalData’s detailed SWOT analysis. In this, the company’s core strengths, weaknesses, opportunities and threats are analyzed, providing you with an up to date objective view of the company.
  • Examine potential investment and acquisition targets with this report’s detailed insight into the company’s strategic, business and operational performance.
Note: Some sections may be missing if data is unavailable for the company.
SECTION 1 - ABOUT THE COMPANY

Financial Industry Regulatory Authority, Inc. - Key Facts
Financial Industry Regulatory Authority, Inc. - Key Employees
Financial Industry Regulatory Authority, Inc. - Key Employee Biographies
Financial Industry Regulatory Authority, Inc. - Major Products and Services
Financial Industry Regulatory Authority, Inc. - History
Financial Industry Regulatory Authority, Inc. - Company Statement
Financial Industry Regulatory Authority, Inc. - Locations And Subsidiaries
Head Office
Other Locations & Subsidiaries

SECTION 2 – COMPANY ANALYSIS

Financial Industry Regulatory Authority, Inc. - Business Description
Financial Industry Regulatory Authority, Inc. - SWOT Analysis
SWOT Analysis - Overview
Financial Industry Regulatory Authority, Inc. - Strengths
Financial Industry Regulatory Authority, Inc. - Weaknesses
Financial Industry Regulatory Authority, Inc. - Opportunities
Financial Industry Regulatory Authority, Inc. - Threats

SECTION 3 – COMPANY’S RECENT DEVELOPMENTS

Jul 26, 2017: FINRA promotes Susan Schroeder to head of Enforcement
Jun 29, 2017: William Heyman elected chairman of FINRA Board of Governors
Jan 30, 2017: FINRA names senior vice president for corporate communications
Jan 19, 2017: FINRA appoints SVP for office of government affairs
Jun 14, 2016: FINRA taps ex-SEC director as new CEO
Jun 14, 2016: FINRA taps ex-SEC director as new CEO

SECTION 4 – APPENDIX

Methodology
About GlobalData
Contact Us
Disclaimer

LIST OF TABLES

Financial Industry Regulatory Authority, Inc., Key Facts
Financial Industry Regulatory Authority, Inc., Key Employees
Financial Industry Regulatory Authority, Inc., Key Employee Biographies
Financial Industry Regulatory Authority, Inc., Major Products and Services
Financial Industry Regulatory Authority, Inc., History
Financial Industry Regulatory Authority, Inc., Other Locations
Financial Industry Regulatory Authority, Inc., Subsidiaries
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