Intesa Sanpaolo IMI Securities Corp.¹ is a U.S. broker/dealer headquartered in the State of New York, it is indirectly controlled by Intesa Sanpaolo and is part of its IMI Corporate & Investment Banking Division.
In the United States, Intesa Sanpaolo IMI Securities Corp. is a registered broker-dealer with the Securities and Exchange Commission, a FINRA member firm (www.finra.org), and a member of the New York Stock Exchange LLC.
1 The products and services described on this web site are not necessarily proposed by Intesa Sanpaolo IMI Securities Corp. U.S. persons, as defined by the Securities Act of 1933, are advised to contact Intesa Sanpaolo IMI Securities Corp. directly.
Rule 606 (previous)
Rule 606 (current)
Disaster Recovery-Business Continuity Plan Disclosure (ENG)