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Broker Watchdogs Accused of Letting Sensitive Data Go Public

Posted on March 28, 2018 by Dissent

Benjamin Bain reports:

A whistle-blower is accusing some key financial regulators of allowing sensitive broker information to become readily accessible, even as industry watchdogs emphasized the need for companies to protect client data.

According to a complaint lodged with the U.S. Securities and Exchange Commission, personal data such as brokerage account numbers provided to an industry-funded regulator have long been easily accessible online. Separately, Social Security numbers and other information meant to be kept private also was made publicly accessible by state regulators for years up until 2015, according to the complaint, which was reviewed by Bloomberg News.

Read more on Bloomberg.


Related:

  • The Secret IRS Files: Trove of Never-Before-Seen Records Reveal How the Wealthiest Avoid Income Tax
  • FINRA, State Regulators Accused of Letting Sensitive Data Go Public
  • Manhattan U.S. Attorney Announces Extradition Of Alleged Russian Hacker Responsible For Massive Network Intrusions At JP Morgan Chase, Other U.S. Financial Institutions, Brokerage Firms, A Major News Publication, And Other Companies
  • FINRA Imposes Fines Totaling $600,000 Against Lincoln Financial Securities and Lincoln Financial Advisors for Failure to Protect Confidential Customer Information
  • "I'm Not Pro-Russia and I'm Not a Terrorist!" —- InfraGard and Airbus Hacker “USDoD” Unveils His New Campaigns
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