Office of Financial Regulation  
HOME    ABOUT OFR CONTACT US FINANCIAL SERVICES COMMISSION COMMISSIONER SITEMAP


About the Commissioner

 

Don B. Saxon was raised in Ft. Lauderdale, Florida. He resided there until attending college at the University of Florida where he graduated in 1975.

Saxon began his career with the Department of Banking and Finance in 1979 as an investigative supervisor in Miami. His responsibilities included investigations of banking, finance and securities fraud. In 1981, Saxon became the Director of the Division of Investigations for the Department being responsible for all investigation operations involving violations of the department’s banking, finance and securities laws. In 1983, he became the Assistant Director for the Division of Securities and Investor Protection, and in 1986 became the Director of that Division. Saxon held this position until January 2003, when he was appointed as the first Commissioner of the Office of Financial Regulation by the Financial Services Commission.

Saxon served as a member of the North American Securities Administrators Association Board of Directors for 3 years and as vice chairman of the Broker/Dealer Section, is chairman of the Continuing Education Project Group, and was recently appointed by the NASAA Board as Ombudsman. Saxon was involved with the development and passage of the Securities and Exchange Commission "Books and Records" rule which became necessary following passage of the National Securities Market Improvement Act of 1996. Currently, he is part of a special working group developing a uniform definition for broker/dealer branch offices. In 2005, Don was appointed to the Board of Directors of the Conference of State Bank Supervisors (CSBS) and is a member of the Strategic Planning Committee.

Saxon has been involved with several high profile legal settlements and has coordinated a number of special projects with the Financial Industry Regulatory Authority (FINRA), and the Securities and Exchange Commission. These projects include the "Rogue Broker" sweeps, the Penny Stock (15G) Examination Sweep, the Joint Regulatory Penny Stock Examination Sweep and an Investment Advisor Sweep. Saxon has also testified before the United States Congress and on many occasions before the Florida Legislature regarding securities, banking, finance and investment protection issues.

Saxon has twice received the North American Securities Administrators Association’s prestigious "Blue Sky Award", the highest recognition for state securities regulators. Other awards include: recognition by the FINRA for contributions to the Industry/Regulatory Council on Continuing Education; NASAA’s Outstanding Service Award for training seminars, coordination of penny stock sweeps, and his commitment to multi-state cooperation; and, recognition by the Securities and Exchange Commission for his work and participation in multi-state/federal agency stock sweeps.

 

Message from the Commissioner

 

   Email the Commissioner

  E-mail the Commissioner

 

 Under Florida law, e-mail addresses are public records. If you do not want your e-mail address released in response to a public-records request, do not send electronic mail to this entity. Instead, contact this office by phone or in writing.

 

Revised Jul-08

MyFlorida.com MyFlorida Logo

Florida, Office of Financial Regulation

200 East Gaines Street · Tallahassee, FL 32399


Accessibility Statement § Privacy Policy

Print View