NY Stock Exchange Disciplinary Actions List

The NY Stock Exchange Disciplinary Actions List is a record of disciplinary measures taken against individuals and firms that fail to comply with exchange rules and regulations. This list includes suspensions, fines, and other penalties imposed for violations such as fraud, misconduct, or failure to meet financial responsibilities.

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6,403 Entities in NY Stock Exchange Disciplinary Actions List
Entity NameEntity TypeEffective DateStatus

David Jesse Stephens

CompanySep 1, 1983inactive

Thomas F Scholl III

CompanyNov 23, 1992inactive

Dale Lawrence Uhas

CompanyNov 16, 1983inactive

Kenneth I Sperling

CompanyJun 4, 1992inactive

Charles W Baker III

CompanyDec 29, 1977inactive

Gerald M Bregman

CompanyJan 1, 1977inactive

Jay R Pierce

CompanyJan 15, 1975inactive

Emerson Glenn Lindsay

CompanyMar 14, 1977inactive

David Sinclair

CompanyJan 26, 1999inactive

John Thomas McCabe

CompanyJan 1, 1991inactive

FAQs

Why is compliance with the Norwegian Black List necessary?

Compliance with the Norwegian Black List is essential for maintaining national and international security. This list identifies individuals and entities involved in activities that threaten peace, stability, or safety. Adhering to these sanctions enhances the integrity of financial systems and prevents illicit funding of terrorism or organized crime. Moreover, compliance helps businesses avoid legal repercussions and reputational damage while promoting ethical practices in trade. Overall, supporting the Norwegian Black List is a crucial step in fostering a safer global environment.

Which companies should comply with Norwegian Black List?

Companies in sectors such as finance, shipping, and oil & gas must comply with the Norwegian Black List to ensure adherence to national sanctions. Compliance is crucial to mitigate financial and legal risks, uphold corporate integrity, and prevent transactions with entities involved in activities contrary to Norway's foreign policy and national security objectives.