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MUTUAL FUNDS MAR 07, 2014
Supreme Court broadens whistle-blower status, mutual fund firms on alert

Rules in favor of Fidelity employees who say they were fired for reporting fraud.

By Mark Schoeff Jr.
REGULATION AND LEGISLATION MAR 07, 2014
Obama's budget: What advisers need to know

SEC would get funding boost; limits placed on retirement-savings tax breaks for wealthy.

By Mark Schoeff Jr.
RETIREMENT PLANNING MAR 07, 2014
Republican tax plan would hit Wall Street hard

Dave Camp, the Republican House Ways and Means Committee chairman, is filling in the blanks in his plan to revamp the U.S. tax code and leaning on the financial industry to help pay for lower tax rates.

By Matt Ackermann
RETIREMENT PLANNING MAR 07, 2014
Senate committee faults Credit Suisse over tax dodgers

A Senate committee report will reprimand Credit Suisse Group AG for helping American clients dodge taxes and will criticize the Justice Department for not pursuing offshore banks aggressively enough, according to two people with knowledge of the findings.

By Matt Ackermann
RETIREMENT PLANNING MAR 07, 2014
Who's most ready for retirement? Not Americans

New retirees are scrambling to get by in one of the least retirement-friendly countries in the developed world.

By CODONNELL
INDUSTRY NEWS MAR 07, 2014
Credit Suisse in $196M settlement with SEC over unregistered advisory services

The firm strikes a $196 million settlement with the SEC over charges it provided cross-border advisory, brokerage services for 8,500 U.S. clients. A Justice Department investigation is pending.

By Mason Braswell
RETIREMENT PLANNING MAR 06, 2014
What retirees don't know can hurt them

Some divorced spouses are clueless about Social Security benefits

By Mary Beth Franklin
INDUSTRY NEWS MAR 06, 2014
Money pours into health care ETFs at fastest pace since 2008

Booming biotechnology and pharmaceutical sectors bringing new products to market attract record money

By Matt Ackermann
INDUSTRY NEWS MAR 06, 2014
SEC moves to halt 'pyramid scheme'

Securities regulators are working to halt what they call a pyramid scheme operated by people outside the U.S. and promoted on social media, promising unrealistic returns to investors.

By Gregory Crawford
WIREHOUSES MAR 06, 2014
Former Merrill Lynch broker accused of 18-year Ponzi scheme

A former Merrill Lynch broker already serving a 33-month sentence for securities fraud is back in the hot seat after being indicted for an 18-year Ponzi scheme.

By Mason Braswell
PRACTICE MANAGEMENT MAR 06, 2014
Finra board set to reconsider BrokerCheck website link

Finra plans to revive a proposal that would require brokers to offer customers easier access to their profile in its BrokerCheck database. It's been modified since the first time the regulator floated it. <i>(See what happened to the <a href="//www.investmentnews.com/article/20130424/FREE/130429972&quot;" target="&quot;_blank&quot;" rel="noopener noreferrer">first plan</a>.)</i>

By Mark Schoeff Jr.
FINTECH MAR 06, 2014
SEC off to aggressive start in 2014, but can it follow through?

The SEC's recent whirlwind of regulatory warnings prompts the question of whether it is biting off more than it can chew.

By Mark Schoeff Jr.
REGULATION AND LEGISLATION MAR 06, 2014
Tittsworth to step down as Investment Adviser Association head in 2015

Oversaw growth of investment adviser lobby to 550 firms managing $11T, from 200 firms managing $1T.

By Mark Schoeff Jr.
PRACTICE MANAGEMENT MAR 06, 2014
SEC takes deep dive on conflicts of interest

Wrap fee accounts, rollovers and dually registered advisers crown list of examination priorities for 2014

By Mason Braswell
REGULATION AND LEGISLATION MAR 06, 2014
Finra advisory group could accelerate regulator's move toward 'best-interests' regime

Bringing the investor's perspective to Finra's work will add momentum to its tendency to promote the best-interests standard for investment advice.

By Mark Schoeff Jr.
REGULATION AND LEGISLATION MAR 06, 2014
SEC needs up to 2,000 — not 250 — new examiners for advice coverage

The SEC chairman seeks a funding boost from Congress to add 250 investment adviser examiners. But she really needs eight times that amount to make a difference.

By Mark Schoeff Jr.
REGULATION AND LEGISLATION MAR 06, 2014
Waters introduces bill to fund investment adviser examinations

By Mark Schoeff Jr.
RETIREMENT PLANNING MAR 05, 2014
John Hancock B-D to terminate health and insurance benefits

Signator moving from career agency to IBD model

By Darla Mercado
INDUSTRY NEWS MAR 05, 2014
Tempted to pay for your grandkids' college? You're not alone

But beware that the strategy you use to contribute funds could make or break your retirement

By CODONNELL
RETIREMENT PLANNING MAR 05, 2014
White House budget proposal targets Social Security benefits

President Obama's plan takes aim at strategies used by upper-income claimants to increase their benefits

By Darla Mercado