Advisor News

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Is the SEC aiming to restrict upfront bonuses?
REGULATION, LEGAL & COMPLIANCE MAR 01, 2011
Is the SEC aiming to restrict upfront bonuses?

By Mark Schoeff Jr.
REGULATION, LEGAL & COMPLIANCE MAR 01, 2011
More rules on the horizon

The regulatory burden on financial advisers is mounting as various government agencies parse the fine points of the Dodd-Frank financial reforms and develop new rules

By Liz Skinner
SEC said to 'sweep' advisory firms for social-media info
FINTECH MAR 01, 2011
SEC said to 'sweep' advisory firms for social-media info

The Securities and Exchange Commission is said to have begun a sweep of registered investment advisers' use of social media and social networking, according to officials at an industry compliance firm.

By Bloomberg
FINTECH FEB 28, 2011
Use of social media in focus

The SEC and Finra are taking a closer look at how financial advisers use social networking

By Jessica Toonkel
REGULATION, LEGAL & COMPLIANCE FEB 28, 2011
Securities America may face 150 or more arbitration claims

Don't expect Securities America Inc. to extricate itself anytime soon from the legal headaches and expenses connected with the private placements it sold from Medical Capital Holdings Inc., a now-bankrupt company that turned medical receivables into promissory notes

By Bruce Kelly
REGULATION, LEGAL & COMPLIANCE FEB 28, 2011
Securities America pins blame on MedCap in Reg D showdown

Securities America Inc. and the Massachusetts Securities Division locked horns last week over the regulator's charges that the firm misled 60 investors in the state who bought $7.2 million in Medical Capital notes from the firm's reps.

By Bruce Kelly
INDEPENDENT BROKER DEALERS FEB 28, 2011
Some broker-dealers scramble for capital

Broker-dealers without big corporate parents or the ability to tap public markets are making an all-out effort to raise capital, in some cases turning to their own clients for financing.

By Bruce Kelly
REGULATION, LEGAL & COMPLIANCE FEB 28, 2011
Raymond James auction-rate suit first to be upheld

Raymond James & Associates must face a lawsuit claiming it defrauded buyers of auction-rate securities, the first class-action complaint following the market's 2008 collapse to survive a judge's initial review.

By Bloomberg
REGULATION, LEGAL & COMPLIANCE FEB 27, 2011
Paper jam

Maybe the shift from the SEC to state regulation won't be as bad as critics are making it out to be, but observers predict that some advisers will resort to “creative accounting” and “flat-out lying” to avoid having to change their registration

By Dan Jamieson
REGULATION, LEGAL & COMPLIANCE FEB 27, 2011
Power grab

Given the chance to ease its regulatory burden, the Securities and Exchange Commission was expected to recommend that a self-regulatory organization be established to oversee investment advisers

By Mark Schoeff Jr.
RETIREMENT PLANNING FEB 27, 2011
All for one

Bring on the fiduciary standard. In a recent InvestmentNews survey of almost 600 advisers, registered reps, financial planners, insurance agents and others, 69.2% said that they agree with the SEC's staff recommendation that any financial professional giving personalized investment advice be deemed a fiduciary

By Bruce Kelly
REGULATION, LEGAL & COMPLIANCE FEB 27, 2011
Special report: Regulation

When the Securities and Exchange Commission released a highly anticipated report last month by its staff recommending that brokers and investments advisers be held to the same fiduciary standard, some supporters felt the issue had been settled once and for all, and predicted that the agency would have a rule in place by the summer.

By Mark Bruno
REGULATION, LEGAL & COMPLIANCE FEB 27, 2011
Court tosses long-running suit against Finra

A federal appeals court last Tuesday agreed that a lawsuit brought by a brokerage firm over the 2007 merger of NASD and the regulatory arm of the New York Stock Exchange should be thrown out

By Liz Skinner
REGULATION, LEGAL & COMPLIANCE FEB 27, 2011
Government shutdown could cause SEC brownout

The SEC's schedule of investment adviser examinations will likely grind to a halt if the federal government is forced to shut down Friday

By Mark Schoeff Jr.
REGULATION, LEGAL & COMPLIANCE FEB 27, 2011
Davis Polk is go-to law firm to parse regs

The Dodd-Frank financial reform law is an intimidating piece of legislation, if not for the breadth of its reach and ambition, then certainly for its sheer size — all 2,300 pages of it

By Mark Schoeff Jr.
REGULATION, LEGAL & COMPLIANCE FEB 27, 2011
Murky Finra markup rule may get murkier

In a move that could affect what broker-dealers charge clients for securities transactions, Finra this month proposed dropping its long-standing 5% markup/markdown policy

By Dan Jamieson
INDEPENDENT BROKER DEALERS FEB 25, 2011
Compliance costs cap New York indie B-D

In what's become an all-too-familiar scene, another small, indie brokerage is closing up shop. Ensemble Financial Services Inc., located in Pittsford, N.Y. will soon be shuttering its B-D operation -- and its 85 registered reps will be moving on.

By Bruce Kelly
LIFE INSURANCE AND ANNUITIES FEB 25, 2011
B-Ds sue insurers over coverage caps

Three independent broker-dealers are suing their respective insurance carriers for failing to cover investors' legal claims, with one charging that its insurer has exposed it to “financial ruin”

By Bruce Kelly
INDEPENDENT BROKER DEALERS FEB 25, 2011
Two broker-dealers capitalize on QA3's demise

Two broker-dealers have emerged as early winners in the fight over the 400 representatives affiliated with QA3 Financial Corp., which officially shut down Friday

By Bruce Kelly
INDEPENDENT BROKER DEALERS FEB 25, 2011
Indie B-D picks up 32 QA3 reps

Securities Service Network Inc. is the latest broker-dealer to pull the plum out of the pie of the defunct <a href= http://www.investmentnews.com/section/broker-dealer-data-profile&amp;R=290006&amp;Y=2009 >QA3 Financial Corp.</b>

By Bruce Kelly