FINRA

FINRA Unscripted

FINRA Unscripted is the voice of the nation’s largest non-government securities regulator. We bring together FINRA leaders to discuss existing and emerging regulatory topics that impact the broker-dealer industry. We share best practices for compliance officers, insights into the operations of a 3,500 person self-regulated organization and educational tools and information for investors. Every investor in America relies on one thing: fair financial markets. That is what FINRA works every day to ensure.

Author

FINRA

Category

Government

Podcast website

www.finra.org

Latest episode

Jul 7, 2026

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Episodes

How FINRA Turns Member Feedback Into Action 07.07.2026

As a self-regulatory organization, FINRA doesn't operate in a vacuum. Our effectiveness depends on understanding what is happening in the industry, hearing directly from our members, and translating that feedback into meaningful action. This engagement is a two-way street, and members might not realize just how many opportunities exist to make their voices heard. On this episode, Kayte Toczylowski...

Inside FINRA Forward: A Conversation with FINRA Board Chair Scott Curtis 02.06.2026

On this episode, tune in to a conversation from FINRA’s 2026 Annual Conference, where FINRA Board Chair Scott Curtis and FINRA President and CEO Robert Cook discussed the partnership between board governance and executive leadership, and the strategic priorities shaping FINRA's direction. Resources mentioned in this episode: Ep. 185: How FINRA Is Streamlining Data Requests Ep. 187: How FINRA Is En...

How FINRA Is Enhancing Member Firm Examinations 05.05.2026

Examinations are a cornerstone of FINRA's regulatory oversight, but how we conduct them is evolving. As part of FINRA Forward, we're making our approach more risk-informed, more efficient, and more transparent. On this episode, J. Koutros, Senior Vice President of Member Supervision, Operations, Procedures, and Standards, Jim Reese, Senior Vice President of Examinations, and John Martino, Vice Pre...

Trading Around the Clock: Inside FINRA's Trade Reporting Enhancements 07.04.2026

Every time you check a stock price on your phone or watch a ticker scroll across a screen, you are seeing the result of a complex reporting system most investors never think about. Behind that number is a vast infrastructure capturing and consolidating trades from exchanges and over-the-counter markets in milliseconds—and that system is undergoing major enhancements. On this episode, Chris Stone,...

How FINRA Is Streamlining Data Requests 03.03.2026

Data is at the heart of everything we do at FINRA—from examining firms to detecting suspicious trading to protecting investors. But the process of requesting, gathering, and analyzing data involves significant effort across the board. So, the question is: How do we work smarter? How do we use technology and collaboration to be more targeted in what we ask for, more efficient in how we use it, and...

Financial Security in 2026: Tips for Investors and How Firms Can Help 03.02.2026

Financial security is about more than just building wealth: It's about resilience, preparation, and having the tools to weather whatever comes your way. And right now, with rising costs, market volatility, and evolving fraud risks, investors need that security more than ever.  On this episode, FINRA Investor Education Foundation President and Senior Vice President of Investor Education Gerri Walsh...

Investors in the United States: Key Trends and Insights from the National Financial Capability Study 06.01.2026

The FINRA Investor Education Foundation’s National Financial Capability Study is an expansive source of data and insights about the financial lives of U.S. adults. Conducted every three years, this wide-ranging research effort includes the Investor Survey, an in-depth exploration of the attitudes, behaviors, knowledge and experiences of retail investors across the country. In December, the FINRA F...

Navigating the 2026 Regulatory Oversight Report: Key Insights from FINRA Leadership 09.12.2025

The Annual Regulatory Oversight Report is one of FINRA’s most valued resources for member firms—and this year, we're publishing it earlier than ever in response to member feedback. The 2026 Report features insights on cyber-enabled fraud, senior investor protection, generative AI, and much more. It also reflects our FINRA Forward commitment to empowering member firm compliance by sharing intellige...

Making Your Voice Heard Through FINRA Member Engagement 02.12.2025

As a self-regulatory organization, engagement with member firms is vital to FINRA’s success. On this episode, we highlight engagement opportunities, provide insight into how FINRA is listening and taking action on what we're hearing, and encourage even more listeners to get actively involved in FINRA's outreach. FINRA Senior Vice President Kayte Toczylowski is joined by two current FINRA regional...

Building Cybersecurity Resilience Through FINRA Forward 19.11.2025

Today's cybersecurity threats aren't isolated incidents—they are sophisticated operations orchestrated by organized criminals and even nation states. This new reality demands we respond not as individual organizations, but as a unified industry with shared intelligence and coordinated defenses. Through FINRA Forward, we are applying this perspective to create practical tools that firms can use to...

A Conversation with FINRA CEO Robert Cook and Small Firm Advisory Committee Chair Preston Haxo 04.11.2025

Small firms face unique challenges. The regulatory landscape is evolving rapidly. And the conversation between regulators and the regulated is more important than ever. How does FINRA ensure that small firm voices are heard? How do small firms navigate an increasingly complex environment while serving their clients effectively?  On this episode, we bring you a conversation between FINRA President...

Encore | Investing Wisely in 2025: Avoiding Scams and Achieving Your Financial Goals 07.10.2025

This episode originally aired in January 2025. Many of us view January as a time to make a fresh start, and as a time to bid farewell to bad habits. In thinking about your New Year's resolutions, have you considered whether you're making financially healthy decisions? On this episode, we sit down with Gerri Walsh, President of the FINRA Investor Education Foundation and Senior Vice President of In...

Previewing FINRA’s Crypto and Blockchain Education Program 16.09.2025

As member firm activity increases in blockchain and crypto assets, FINRA is launching a Crypto and Blockchain Education Program designed to empower member firm compliance and combat crypto fraud by broadening the knowledge base of member firms and associated persons.   On this episode, FINRA’s Crypto Hub Chief Jason Foye, Director of Critical Skills and Capabilities Training Rowan Job-White and Di...

National Financial Capability Study: Key Trends and Insights 05.08.2025

In 2009, the FINRA Investor Education Foundation launched the first national study of financial capability of adults in the United States. Since its start, the National Financial Capability Study has provided data on multiple indicators of capability, including financial behaviors, attitudes, and knowledge. National Financial Capability Study survey data is collected every three years. The 2024 su...

A Conversation With FINRA Chair Scott Curtis 15.07.2025

Resources mentioned in this episode: Blog Post: Fee Rebate for FINRA Member Firms Blog Post: FINRA Forward Initiatives to Support Members, Markets and the Investors They Serve Request for Comment: Outside Activities Rule—2025-05 Rule Proposal: Gifts Rule—2025-003   Subscribe to our show on Apple Podcasts ,  Google Play and by RSS . Find us:  LinkedIn / X /  YouTube / Facebook /  Ins...

Robert Cook on FINRA Forward, and More 17.06.2025

FINRA Forward—New Initiatives to Support Members, Markets, and the Investors They Serve FINRA360 Request for Comment on Capital Formation Rules, Guidance and Processes Request for Comment on Modern Workplace Rules, Guidance and Processes Request for Comment on Associated Persons’ Outside Activities Statement to Correct Misinformation About Outside Activities Proposal Broad Review to Modernize Rule...

Vendor Vigilance: Navigating Third-Party Risk 06.05.2025

Third-party risk is the most clicked-on topic in FINRA's 2025 Regulatory Oversight Report. But what is third-party risk and why are people so interested in it? What can FINRA member firms do to mitigate that risk? And how can FINRA help? On this episode of FINRA Unscripted, FINRA’s Executive Vice President of Member Supervision Greg Ruppert shares valuable insights on why firms are facing heighten...

Protecting Investors: FINRA Securities Helpline for Seniors' 10th Anniversary 01.04.2025

This month, we are marking the 10th anniversary of the FINRA Securities Helpline for Seniors—an important milestone for a critical service that FINRA provides to protect vulnerable investors and assist harmed investors. On this FINRA Unscripted podcast episode, we will be speaking with leaders from FINRA’s Vulnerable Adults and Seniors Team—Elizabeth Yoka, the manager of VAST Intake, and Michael P...

Protecting Yourself from Financial Fraud: Navigating an Evolving Landscape 04.03.2025

As we observe National Consumer Protection Week amid a growing and changing financial fraud landscape, the time is ripe to talk about the ways in which investors can protect themselves from financial scams.  On this episode, we sit down with Rob Mascio, Director of the FINRA Investor Education Foundation, to talk about the latest fraud trends, common red flags to watch out for and practical steps...

Using Data to Stay Ahead of Risk: Introducing FINRA’s StratIntel Team 11.02.2025

As the financial industry continues to evolve, it's important to stay ahead of emerging risks and trends. On this episode of FINRA Unscripted, the leaders of FINRA's new Strategic Intelligence and Analytics (StratIntel) team discuss how they are working to identify and analyze these industry developments. On this episode, we sit down with the leaders of the StratIntel team: Senior Vice President o...

Unpacking the 2025 FINRA Annual Regulatory Oversight Report 28.01.2025

As a self-regulatory organization, information sharing is key to FINRA's pursuit of its mission of investor protection and market integrity. The 2025 FINRA Regulatory Oversight Report provides just that: Critical insights to help firms strengthen their compliance and protect investors. On this episode, hosted by Member Relations and Education Vice President Kayte Toczylowski, FINRA’s regulatory le...

Investing Wisely in 2025: Avoiding Scams and Achieving Your Financial Goals 07.01.2025

Many of us view January as a time to make a fresh start, and as a time to bid farewell to bad habits. In thinking about your New Year's resolutions, have you considered whether you're making financially healthy decisions? On this episode, we sit down with Gerri Walsh, President of the FINRA Investor Education Foundation and Senior Vice President of Investor Education, to uncover the trends and tip...

Unlocking Transparency: Navigating FINRA’s Market Data Offerings 10.12.2024

Behind every market transaction lies a wealth of data. But how can we harness this information?  On this episode, we sit down with two members of the Market Regulation and Transparency Services team, Senior Vice President of Strategic Regulatory Engagement Alex Ellenberg, and Senior Director of Transparency Services Equities Brendan Loonam. They join us to discuss periodic aggregate market data se...

Encore | An Introduction to FINRA’s Crypto Asset Work and the Crypto Hub 26.11.2024

This episode originally aired in August 2023.  In 2022, FINRA developed an enterprise-wide strategy to ensure it is prepared for an evolving crypto asset regulatory landscape and created the Crypto Hub, the Blockchain Lab and the Crypto Asset Investigations Team On this episode, the first in a three-part series, we sit down with Omer Meisel, Senior Vice President of the Complex Investigations and...

Special Investigations Unit: Combating Money Laundering and Fraud in the Securities Industry 12.11.2024

In the securities world today, there is little daylight between money laundering and fraud. As these two spaces have come to increasingly overlap, FINRA created the Special Investigations Unit, or SIU, to detect and investigate cases illicit finance, market abuse and other fraud.  On this episode, we sit down with SIU Senior Director Gargi Sharma, and three investigative directors from her team: K...

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