BNET Industries
Last Fiscal Year Sales:$868.0M
- Private
- US
Dow Jones Description
Self-Regulating Organization of the Securities Industry
President, Regulatory Services & Operations
Douglas ShulmanNumber of Employees 1,200
Contact Information
1735 K St Northwest
Washington, District of Columbia 20006-1516
(202) 728-8000
Peer Companies
NAICS Code Business Associations: 813910
Recent Events
-
Finra's $1.6B fund missing out on market rebound
-
Three Firms Will Buy Back $128M of ARS and Pay $600,000 in Fines
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For Ross Mandell and Sky Capital, a Long Trip Indeed
News & Analysis
Filter by
nasd and regulator - All News and Analysis
Power sources.(Nongovernmental organizations)(rules governing property and casualty insurance industry, securities industry and rating agencies (Securities))(Brief article)
Nongovernmental organizations wield de facto authority, often channeled through government agencies. FINANCIAL INDUSTRY REGULATORY AUTHORITY (www.finra.org) Formerly the National Association of Securities Dealers NASD, FINRA, created in July 2007, is the largest nongovernmental regulator for all securities firms doing business in...
Merged
When members of the Securities Industry and Financial Markets Association's Regional Firms Committee met with Mary L. Schapiro last July, they were pleased with what they heard. "She has been very open about the merger and how to make things accretive to us as members," says Walter S....
Battle over SRO merger rages on in court, at SEC; Judge agrees to let discovery proceed; Galvin calls deal `imprudent'.(News)
Byline: Dan Jamieson IRVINE, Calif. - The fight over the pending consolidation of the regulatory units of the New York Stock Exchange and NASD is proceeding apace on two fronts: in court and at the Securities and Exchange Commission. ...
US regulator warns of fraudulent Chinese stock scams
WASHINGTON AFP — Unwary investors should be suspicious of e-mails, cell phone text messages and faxes touting supposedly cheap Chinese stocks which promoters claim will rocket in value, US regulators said Monday. The NASD financial watchdog said such touted stocks are often not Chinese or even listed on China's...
Regulation Round Table.
The following is the edited transcript of the round-table discussion. Ms. Hansard: What will the consolidation [of the regulatory operations of Washington-based NASD and the New York Stock Exchange Group Inc.] mean for the industry? Ms. Walter:...
NASDNYSE Merger Bodes Well for Brokers
The recent announcement that the NASD and the New York Stock Exchange would consolidate regulation of securities firms has been welcomed by brokers and attorneys alike. And although many observers are realistic about the potential impact, the general perception is that the move will make brokers lives much easier. ...
State regulators on indies' radar; FSI steps up efforts to track several issues at the state level.(News)
Byline: Bruce Kelly NEW YORK - After spending the past three years cozying up to securities regulators at NASD, independent-contractor broker-dealers are fearful that state regulators pose an increasing threat. The Financial Services Ins ...
Brokers Okay New SRO Plan
Wall Street's unique system of self-regulation just got streamlined by a recent vote of NASD members. Some 64 percent of NASD's members approved bylaw changes required to merge NASD with the regulatory arm of the New York Stock Exchange. Almost 83 percent of eligible members voted. ...
NAV Transfer Programs Cause trouble for four Firms
Four firms that had raised the ire of the NASD for allegedly failing to offer certain investors lower-cost mutual fund shares were recently hit with fines by the regulator totaling $850,000. The firms were also ordered to pay remediation amounting to $43.8 million to thousands of investors who qualified for-but...
Brokers Okay New SRO Plan.
Wall Street's unique system of self-regulation just got streamlined by a recent vote of NASD members. Some 64 percent of NASD's members approved bylaw changes required to merge NASD with the regulatory arm of the New York Stock Exchange. Almost 83 percent of eligible...
Decision Makers
| Name (plus bio) | Position |
|---|---|
| Douglas Shulman | President, Regulatory Services & Operations |
| Martin P. Colburn | CTO & Executive Vice President |
| Todd T. DiGanci | CFO & Executive Vice President |
| Daniel J. Stefek | Director |
| Elisabeth Owens | Regl Director |
| Gary K. Liebowitz | Director |
| Hans Reich | Regional Director |
| James G. Dawson | Director |
| John P. Nocella | Director |
| Joseph G. McCarthy | Director |
| Lani M. Woltmann | Director |
| Laura Oatney | Director, Public Affairs |
| Thomas D. Clough | Director |
| Virginia F. Jans | Director |
| Warren A. Butler | Regional Director |
| William L. Wink | Associate Director |
| Alan M Kittner | Uniform Securities Agent |
| Andrew L Dworkin | Uniform Securities Agent |
| David B Hughes | Uniform Securities Agent |
| David McLean | licensed Principal |
| Eric Hender | registered principal |
| Johnston L. Evans | Uniform Securities Agent |
| Jonathan Joffe | Principal |
| Mary Frances Kelley | General Securities Representative |
| Teresa Pensato | Uniform Securities State Agent |
| Julie VanderWeele | Member |
| William Kerins | Member |
Board of Directors
| Name (plus bio) | Position |
|---|---|
| Randall L Rubin | Board member |
| Organization | Position | Status |
|---|---|---|
| FINRA | President, Regulatory Services & Operations | Current |
| The Depository Trust Company | Board of Directors | Current |
| NASDAQ OMX Group, Inc. | Vice President | Former |
| Organization | Position | Status |
|---|---|---|
| FINRA | CTO & Executive Vice President | Current |
| Organization | Position | Status |
|---|---|---|
| FINRA | CFO & Executive Vice President | Current |
| Organization | Position | Status |
|---|---|---|
| FINRA | Director | Current |
| Organization | Position | Status |
|---|---|---|
| FINRA | Regl Director | Current |
| Organization | Position | Status |
|---|---|---|
| FINRA | Director | Current |
| Organization | Position | Status |
|---|---|---|
| FINRA | Regional Director | Current |
| Organization | Position | Status |
|---|---|---|
| FINRA | Director | Current |
| Organization | Position | Status |
|---|---|---|
| FINRA | Director | Current |
| Organization | Position | Status |
|---|---|---|
| FINRA | Director | Current |
| Organization | Position | Status |
|---|---|---|
| FINRA | Director | Current |
| Organization | Position | Status |
|---|---|---|
| FINRA | Director, Public Affairs | Current |
| FINRA | Director, Public Affairs | Former |
| Organization | Position | Status |
|---|---|---|
| FINRA | Director | Current |
| Organization | Position | Status |
|---|---|---|
| FINRA | Director | Current |
| Organization | Position | Status |
|---|---|---|
| FINRA | Regional Director | Current |
| Organization | Position | Status |
|---|---|---|
| FINRA | Associate Director | Current |
| Organization | Position | Status |
|---|---|---|
| FINRA | Uniform Securities Agent | Current |
| Xenon Pharmaceuticals Inc | Board of Directors | Current |
| Invesco Private Capital | General Partner | Former |
| One Body | Chief Executive Officer | Former |
| Point Biomedical Corporation | Investor | Former |
| Liposcience, Inc. | Investor | Former |
| Yale School of Management | M.B.A. | Former |
| University of California, Berkeley | B.A. | Former |
| Organization | Position | Status |
|---|---|---|
| FINRA | Uniform Securities Agent | Current |
| New York State Bar Association | Member | Current |
| Invesco Private Capital | Administrative Partner | Former |
| Debevoise & Plimpton Llp | Corporate Associate | Former |
| Chancellor Capital Management | General Counsel | Former |
| Debevoise & Plimpton Llp | Corporate Associate | Former |
| New York University | J.D. | Former |
| New York University School of Law | J.D. | Former |
| New York University | M.A. in Clinical Psychology | Former |
| University of Pennsylvania | B.A. in Clinical Psychology and International Relations | Former |
| Organization | Position | Status |
|---|---|---|
| Invesco Private Capital | Portfolio Manager | Current |
| FINRA | Uniform Securities Agent | Current |
| Bankers Trust Company Inc. | Global Investment Management division | Former |
| Chancellor Capital Management | head, Global Fixed Income team | Former |
| Fiduciary Trust Company | global fixed income and global credit investments | Former |
| Invesco, LLC | Former | |
| London Stock Exchange plc | Former | |
| New York University | M.B.A. | Former |
| Dickinson College | B.B.A. in Policy & Management Studies | Former |
| Organization | Position | Status |
|---|---|---|
| Prudential Investments LLC | Senior Vice President | Current |
| Stonegate Partners, LLC | Vice President | Current |
| Fulton Partners, Inc. | Partner | Current |
| NYSE Group, Inc. | licensed Principal | Current |
| FINRA | licensed Principal | Current |
| Sensorlogic, Inc. | Board of Directors | Current |
| State Street Research & Management Company | Director | Current |
| Tonic Software, Inc. | Director | Current |
| Cicada Semiconductor Corp. | CEO | Former |
| Stonegate Partners, LLC | President | Former |
| Prudential Investments LLC | President | Former |
| State Street Research & Management Company | President | Former |
| Stonegate Partners, LLC | Managing Director | Former |
| Stonegate Partners, LLC | Advisory Director | Former |
| International Business Machines Corporation | Spearheaded the Introduction of DSP Product Line into Asia | Former |
| Sevin Rosen Funds | Former | |
| Vitesse Semiconductor Corporation | Former | |
| Boston College | Graduate | Former |
| Organization | Position | Status |
|---|---|---|
| Marshall Venture Capital, L.C. | President | Current |
| Aavin | Senior Partner | Current |
| FINRA | registered principal | Current |
| Marshall Venture Capital, L.C. | Managing Member | Current |
| Brightplanet Corp | board member | Current |
| Destinations Unlimited | board member | Current |
| Intermed | board member | Current |
| Compendium Corporation | board member | Current |
| Handy Industries, LLC | board member | Current |
| SCI Financial Group Inc. | President of SCI Capital Company | Former |
| Marshall Venture Capital, L.C. | co-founder | Former |
| Aavin | Co-Founder | Former |
| Aavin | Senior Director | Former |
| SCI Financial Group Inc. | officer | Former |
| FINRA | member | Former |
| SCI Financial Group Inc. | Director | Former |
| Colorado College | degree in Business and Banking | Former |
| Organization | Position | Status |
|---|---|---|
| FINRA | Uniform Securities Agent | Current |
| E2OPEN, Inc. | Current | |
| GENBAND | Board of Directors | Current |
| Invesco Private Capital | General Partner | Former |
| Invesco, LLC | Former | |
| Starvox Corporation | Investor | Former |
| Accessline Co | Investor | Former |
| 2Wire, Inc. | Investor | Former |
| Wayport, Inc. | Investor | Former |
| Digital Insight Corporation | Investor | Former |
| Wherenet Corp | Investor | Former |
| Callidus, LLC | Investor | Former |
| Boston University | B.A. in Political Science | Former |
Jonathan Joffe is a Director of MAST in Cambridge. He joined Monitor in 1995 while completing a Doctor of Juridical Science (SJD) degree at Harvard Law School and was one of the first employees of MAST in London in 1997. Jonathan's practice with MAST has focused on the structuring and execution of transactions involving complex multi-stakeholder negotiations. This has included leading strategic equity partnership projects in the retail, publishing, recycling, consumer electronics and business process outsourcing industries. It has also included leading a number of major multinational deals, such as the 1999 acquisition by Blue Circle Industries Plc of the largest cement manufacturer in Greece. Dr Joffe previously practiced law in South Africa. He specialized in negotiations and the development of framework agreements which regulate situations of ongoing complexity between the parties. He was integrally involved in a number of major negotiations, including the restructuring of South African Airways as a state owned corporation, and the establishment of a new industrial relations framework for public sector employees. Jonathan also holds a BA (Economics) and LLB from University of Witwatersrand in Johannesburg. Dr Joffe is registered with the Financial Services Authority as a corporate finance advisor for MAST Global Limited.
| Organization | Position | Status |
|---|---|---|
| Mast Global Limited | Director of Mast In Cambridge | Current |
| FINRA | Principal | Current |
| Monitor Group | Strategy Consultant | Former |
| University of the Witwatersrand | Ba (Economics) and Llb | Former |
| University of the Witwatersrand | Degrees in Economics and Law | Former |
| Harvard Law School | Degree | Former |
| Organization | Position | Status |
|---|---|---|
| Invesco Private Capital | General Partner | Current |
| FINRA | General Securities Representative | Current |
| Healthcare Ventures, LLC | Advisory Board Member | Current |
| Apex Incorporated | Advisory Board Member | Current |
| Deloitte Touche Tohmatsu | Audit and General Service department | Former |
| National Federation of Independent Business | Board Member | Former |
| The University of New Mexico | B.A. in Secondary Education | Former |
| Organization | Position | Status |
|---|---|---|
| FINRA | Uniform Securities State Agent | Current |
| Invesco Private Capital | Manager, Finance | Former |
| Invesco, LLC | Manager, Finance | Former |
| Invesco Private Capital | Fund Accountant | Former |
| Neuberger Berman, Inc. | member of the accounting department | Former |
| University of Scranton | B.S. in Accounting | Former |
| Organization | Position | Status |
|---|---|---|
| Center for Conflict Resolution | Current | |
| FINRA | Board member | Current |
| FINRA | Arbitrator and Mediator | Former |
| University of Florida | B.S. of Business Administration | Former |
| Organization | Position | Status |
|---|---|---|
| Mesirow Financial | Senior Vice President, Marketing | Current |
| Mesirow Financial | Senior Managing Director | Current |
| FINRA | Member | Current |
| Mesirow Financial | Director | Current |
| Kellogg School of Management at Northwestern University | M.M | Former |
| Northern Illinois University | B.S | Former |
| Organization | Position | Status |
|---|---|---|
| FINRA | Member | Current |
| Lombard Investments | Managing Director | Former |
| The Goldman Sachs Group, Inc. | Investment Banker | Former |
| Harvard Business School | M.B.A | Former |
| Harvard College | A.B | Former |
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