How did Edwin McNeill handle the suspicious trades appropriately?

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Edwin McNeill appropriately handled the suspicious trades by reporting them and restricting the trader’s duties. This response reflects a commitment to ethical standards and regulatory compliance, ensuring that any potential misconduct is addressed promptly and transparently. By reporting the suspicious activity, McNeill acknowledges the importance of maintaining trust in the trading environment and protects the interests of clients and stakeholders.

Additionally, restricting the trader’s duties demonstrates a proactive approach to mitigating any risks associated with the suspicious trades. It allows for a thorough investigation to take place without the possibility of further questionable activities by the trader during that period. Such actions are crucial in upholding the integrity of the financial markets and aligning with ethical practices that require vigilance and accountability in trading activities.

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