Skip to content

Menu

LexBlog, Inc. logo
NetworkSub-MenuBrowse by SubjectBrowse by PublisherJoin the NetworkGet StartedSubscribeSupport
Contact Us
Search
Close

FINRA Publishes 2026 Annual Regulatory Oversight Report

By Steffen Hemmerich, Joshea Mark, Anna T. Pinedo & Stephen Vogt on December 19, 2025
Email this postTweet this postLike this postShare this post on LinkedIn
Link to The Report highlights FINRA’s continued focus on generative artificial intelligence, cybersecurity, small-cap securities fraud, and third-party risk The Report highlights FINRA’s continued focus on generative artificial intelligence, cybersecurity, small-cap securities fraud, and third-party risk

The Financial Industry Regulatory Authority, Inc. (“FINRA”) published its 2026 FINRA Annual Regulatory Oversight Report (the “Report”), which builds on the structure and content of FINRA’s prior reports for 2021-2025. This year, the Report was published earlier than in prior years—aligning more closely with the Securities and Exchange Commission’s release of its 2026 examination priorities. The Report adds a new section on continuing and emerging trends in generative artificial intelligence.  It also includes new content on various topics, including cybersecurity and cyber-enabled fraud, manipulative trading in small-cap, exchange-listed equities, and the third-party risk landscape. In addition, the Report highlights new findings and effective practices relating to topics previously covered by FINRA. FINRA also uses the Report to highlight its FINRA Forward initiatives, which have as their objectives modernizing FINRA rules; empowering member firm compliance by enhancing FINRA’s support for member firm compliance programs; and combatting risks related to cybersecurity and fraud by expanding FINRA’s cybersecurity and fraud prevention activities.

Read our Legal Update.

Photo of Anna T. Pinedo Anna T. Pinedo

Anna Pinedo is a partner in Mayer Brown’s New York office and a member of the Corporate & Securities practice. She concentrates her practice on securities and derivatives. Anna represents issuers, investment banks/financial intermediaries and investors in financing transactions, including public offerings and…

Anna Pinedo is a partner in Mayer Brown’s New York office and a member of the Corporate & Securities practice. She concentrates her practice on securities and derivatives. Anna represents issuers, investment banks/financial intermediaries and investors in financing transactions, including public offerings and private placements of equity and debt securities, as well as structured notes and other hybrid and structured products.

Read Anna’s full bio.

Read more about Anna T. PinedoEmail
Show more Show less
  • Posted in:
    Banking, Finance and Securities
  • Blog:
    Free Writings + Perspectives
  • Organization:
    Mayer Brown
  • Article: View Original Source

Call us at 1-800-913-0988 or email sales@lexblog.com.

Facebook LinkedIn Twitter RSS
  • About LexBlog
  • The Field We Built
  • Our Beliefs
  • Our Team
  • Contact LexBlog
  • Disclaimer
  • Editorial Policy
  • Terms of Service
  • Get Started
  • Publishing Solutions
  • Compass
  • Submit a Request
  • Support Center
  • System Status
Copyright © 2026, LexBlog, Inc. All Rights Reserved.
Law blog design & platform by LexBlog LexBlog Logo