Subject: S7-31-22
From: Justin Max
Affiliation:

Mar. 07, 2023

I'm an individual investor, and I'm writing in support of the rule changes proposed in File S7-31-22. The SEC should do everything possible, to protect investor funds from brokers, banks, market makers, and any other organization that commits malpractice or fraud. It's unbelievable that so many conflicts of interests exist in our stock market. The American markets have become overly manipulated and tilted in favor of the big players. We need markets that regular investors can trust otherwise people will move their money out of market investments including 401k and into tangible assets that they have greater control over. 






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Justin Max 
Founder, Spark DSG 


sparkdsg.com