Bruce Kelly

InvestmentNews

Bruce Kelly

Senior Columnist

26 years experience

Bruce's specialty topics

Legal and compliance Advisor compensation Alternative investments

Bruce is Senior Columnist for InvestmentNews, a leading publication for financial advisors and the wealth management industry.

An award-winning journalist, Bruce’s career at InvestmentNews began in 2000, two years after the launch of the newspaper. He has covered the brokerage industry ever since, focusing on financial advisors’ pay, the products they sell, and the firms on and off Wall Street where they work.

His reporting in the financial crisis 2008 and thereafter shed light on the many shortcomings of the financial advice industry, from weak regulation to the collapse of many broker-dealers.

Bruce writes an award-winning column, On Advice, and his daily breaking news reports give clarity and insight into what’s happening behind closed doors at the largest brokerage firms in the country.

Before becoming a journalist, Bruce taught middle school and high school English in Manhattan and Caracas, Venezuela, for a decade. He is the co-author of a 2010 book, “Financial Serial Killers,” and has two children.

How I think about writing for this industry…

“I love covering the financial advice business. We write about financial advisors and how they care about clients' lifesavings - what is more important than that?”

Awards and recognition

  • 2 SABEW awards
  • Neal Award

Also published by

Co-author of "Financial Serial Killers"

Read the latest stories by Bruce

Bruce Kelly
Displaying 3542 results
RIA NEWS JUN 13, 2013
15 transformational advisers: Daniel Moisand

Mr. Moisand was president of the Financial Planning Association in 2005 when it sued the SEC over the so-called Merrill Lynch rule, which exempted fee-based brokerage accounts from falling under the Investment Advisers Act of 1940.

INDEPENDENT BROKER DEALERS JUN 13, 2013
Citing change at the firm, brother and sister team splits Morgan Stanley

A brother and sister team with strong family ties to Salomon Smith Barney have left Morgan Stanley to go indie. The brokerage, said the brother, 'wasn't the same company we grew up with'.

INDEPENDENT BROKER DEALERS JUN 13, 2013
Brokers' lawyer says Finra adds intimidation to Belesis shop query

An attorney for brokers who left John Thomas Financial claims Finra is probing whether the brokerage tried to intimidate the departed reps.

RIA NEWS JUN 13, 2013
Belesis got Wells notice from Finra

Troubles continue to mount for Thomas Belesis. According to BrokerCheck, Finra sent the celebrity B-D owner a Wells notice last month for allegedly running a pump-and-dump scheme.

INDEPENDENT BROKER DEALERS JUN 12, 2013
Philanthropy calls: LPL's Dwyer to exit

Long-time executive had most recently been lobbying in Washington for independent broker-dealers

INDEPENDENT BROKER DEALERS JUN 11, 2013
LPL hit with largest Finra fine ever for e-mail case

Finra on Tuesday slapped LPL with a $7.5M fine, its largest ever for an email-related case. The brokerage allegedly failed to adequately oversee 28 million electronic messages over a four-year period.

RETIREMENT PLANNING JUN 11, 2013
AIternative alterations

In regulatory cross hairs, broker-dealers are putting limits on products and revising policies.

RIA NEWS JUN 11, 2013
Cetera to buy two of MetLife's indie B-Ds

After weeks of speculation, Cetera CEO Valerie Brown on Friday announced the company is buying two of MetLife's broker dealers. Bruce Kelly supplies the details.

ALTERNATIVES JUN 10, 2013
Thompson REIT fires accountant for failure to report key events

CEO Tony Thompson's reliability called into question for second time this month.

ALTERNATIVES JUN 10, 2013
Real estate maven Thompson in battle with his board over nontraded REIT's dividend

Tony Thompson blames a dividend cut at his nontraded REIT, TNP Strategic Retail Trust, on his independent board but the directors fire right back, calling his allegations false. Bruce Kelly has the latest.