Industry News

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NEWS RETIREMENT PLANNING NOV 15, 2016
How wealthy Americans can maximize their payoff from Donald Trump's presidency

Financial advisers are telling clients to make these moves before the end of 2016.

By Bloomberg
NEWS INDUSTRY NEWS NOV 15, 2016
Debt financing on private equity seen as one way to boost income

By John Waggoner
NEWS FINTECH NOV 15, 2016
Wells Fargo teams with SigFig to offer robo-adviser

The wirehouse, whose platform will be available next year, joins other big firms jumping into digital advice. <b><i>(More: <a href="//www.investmentnews.com/article/20160524/FREE/160529970/sigfig-raises-40-million-in-funding-led-by-eaton-vance-asserting&quot;" target="&quot;_blank&quot;" rel="noopener noreferrer">SigFig raises $40 million in funding led by Eaton Vance</a>)</b></i>

By Liz Skinner
NEWS RETIREMENT PLANNING NOV 15, 2016
Edward Jones hit with second lawsuit over excessive 401(k) fees

Allegations in the lawsuit largely resemble those of a separate one filed in August this year.

By Greg Iacurci
NEWS RETIREMENT PLANNING NOV 15, 2016
New Social Security rules and divorce

Two sets of benefits exist for ex-spouses depending on their birth dates.

By Mary Beth Franklin
NEWS BROKER DEALERS NOV 15, 2016
John Hancock swims against the tide, doubles down on independent broker-dealer business

By picking up 883 Transamerica advisers and $25 billion in client assets, its Signator Investors B-D now has the scale to compete profitably in era of increased regulation and rising costs.

By Bruce Kelly
NEWS BROKER DEALERS NOV 15, 2016
Cetera's parent company appoints three new board members, including former head of eMoney Advisor

Edmond Walters, the founder and former CEO of eMoney Advisor, brings a background in technology to the broker-dealer network.

By Bruce Kelly
Capital One will eliminate commissions on IRAs
NEWS RETIREMENT PLANNING NOV 14, 2016
Capital One will eliminate commissions on IRAs

The transition will be completed by the time the Department of Labor fiduciary rule takes effect.

By Grete Suarez
NEWS FINTECH NOV 14, 2016
Robo-advisers sound off to SEC about rule changes for automated advice

Digital-advice firms tell the Securities and Exchange Commission they put clients' interests first and that some regulatory updates are needed as digitization of the industry grows.

By Liz Skinner
NEWS MUTUAL FUNDS NOV 14, 2016
Vanguard, Pimco feel the pain as long-term funds get smacked

The bond market selloff is getting more serious, with some popular funds down nearly 20% since the summer.

By John Waggoner
NEWS INDUSTRY NEWS NOV 14, 2016
SEC's Mary Jo White to step down when President Obama leaves office

Her nearly four-year tenure has been highlighted by high-profile enforcement cases and plagued by internal battles that stalled controversial policies.

By Bloomberg
SEC scrutinizing two Ladenburg Thalmann firms for selling mutual funds with 12b-1 fees
NEWS BROKER DEALERS NOV 14, 2016
SEC scrutinizing two Ladenburg Thalmann firms for selling mutual funds with 12b-1 fees

Regulator claims Securities America Advisors and Triad Advisors &quot;acted inconsistently with their fiduciary duties.&quot;

By Bruce Kelly
Finra barred WFG broker for selling customers a Ponzi scheme
NEWS INDUSTRY NEWS NOV 14, 2016
Finra barred WFG broker for selling customers a Ponzi scheme

Stuart G. Dickinson is ordered to pay close to $1 million in restitution.

By Grete Suarez
After LPL walks away from FSI, two large branches join the trade and lobbying group
NEWS BROKER DEALERS NOV 14, 2016
After LPL walks away from FSI, two large branches join the trade and lobbying group

Advantage Financial Group and Private Advisor Group take advantage of a policy change to join the organization that represents independent broker-dealers.

By Bruce Kelly
NEWS BROKER DEALERS NOV 14, 2016
Robert Moore jumps ship at LPL

One-time heir apparent to Mark Casady to lead asset manager Legal &amp; General Investment Management America, an institutional money manager.

By Bruce Kelly
NEWS BROKER DEALERS NOV 14, 2016
Bruton makes first acquisition as CEO of Lucia Capital Group

Derek Bruton didn't waste any time putting his imprint on Lucia Capital Group, striking a deal for the managed equity and fixed-income accounts of West Coast Asset Management, a registered investment advisory firm with $170 million in assets.

By Bruce Kelly
NEWS BROKER DEALERS NOV 13, 2016
Mary Jo White: 3 areas of oversight for the Treasury market

By Ellie Zhu
NEWS RETIREMENT PLANNING NOV 11, 2016
Another 401(k) record keeper sued over 'pay to play' scheme with Financial Engines

Plaintiffs claim Xerox took kickbacks from Financial Engines for including the managed-account provider on its record-keeping platform, breaching its fiduciary duty.

By Greg Iacurci
NEWS RETIREMENT PLANNING NOV 11, 2016
How Donald Trump's presidency will influence your retirement

The president-elect barely mentioned the retirement crisis during his campaign, but will wield enormous power over many related issues once in office.

By Bloomberg
NEWS PRACTICE MANAGEMENT NOV 11, 2016
Proceed or stand down: Should advisers continue preparing for the DOL fiduciary rule post Trump?

Many brokers and other financial firms have already changed compensation and other policies to align with the regulation. <b><i>(More: <a href=&quot;http://www.investmentnews.com/section/fiduciary-focus&quot; target=&quot;_blank&quot;>The DOL rule, from all angles.</a>)</i></b>

By Mark Schoeff Jr.