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SEC says suicide broker bilked big-time college coaches
REGULATION AND LEGISLATION NOV 02, 2010
SEC says suicide broker bilked big-time college coaches

Claims Salinas defrauded Lute Olsen, others out of $50M; killed self in July

By John Goff
INDUSTRY NEWS NOV 02, 2010
Fan who returned Jeter's ball needs conference at the mound with financial adviser

Handing over Derek Jeter's milestone ball has made a celebrity out of Christian Lopez -- and the financial implications also could have his head spinning.

By John Goff
Hangar stake: Investment nightmare not over yet for NFL player
INDUSTRY NEWS NOV 02, 2010
Hangar stake: Investment nightmare not over yet for NFL player

Warrant issued for man who allegedly steered Chargers' Buster Davis into airplane hangar investments

By Bruce Kelly
Who shot down J.R.? Judge nixes $11.6M payout to Larry Hagman
INDUSTRY NEWS NOV 02, 2010
Who shot down J.R.? Judge nixes $11.6M payout to Larry Hagman

In October, a Finra arbitration panel ordered Citigroup to pay former 'Dallas' star Larry Hagman a whopping $11.6 million for, among other things, breach of fiduciary duty. Yesterday, a judge threw out the award, saying that one of the panel members may not have been impartial.

By InvestmentNews
INDUSTRY NEWS NOV 02, 2010
Will Ferrell flops with Finra arbitration panel

Will Ferrell may have the No.1 movie in America. But that didn't cut any ice with a Finra arbitration panel, which ruled against Ferrell and Larry David in a claim against J.P. Morgan Securities.

By Darla Mercado
REGULATION AND LEGISLATION NOV 02, 2010
John Elway's ex-adviser cops to $71M investment scam

Mueller pleads guilty to ripping off the Hall of Fame quarterback, 64 other clients; 'he's accepting responsibility'

By Associated Press
INDUSTRY NEWS NOV 02, 2010
Election 2010: Should advisers be worried?

It's been an ugly, mud-slinging, smackdown of a campaign. The results may not be any prettier -- at least, not for advocates of financial reform.

By Mark Schoeff Jr.
INDUSTRY NEWS NOV 02, 2010
Big winner in November vote? Stocks, most likely

No matter where you stand in this increasingly divided political landscape, the financial markets are a good bet to rally following the Nov. 2 elections.

By Jeff Benjamin
Finra slaps Next Financial with $400K fine
BROKER DEALERS NOV 01, 2010
Finra slaps Next Financial with $400K fine

Next Financial Group Inc. has been hit with a significant regulatory action for the third time in three years, with Finra this month levying a $400,000 fine and $102,000 in restitution to clients.

By Bruce Kelly
RIAS NOV 01, 2010
Finra floats ADV form for brokers

In yet another sign of the move toward regulatory harmonization, the Financial Industry Regulatory Authority Inc. has asked for input on how to create an ADV-like form for broker-dealers.

By Dan Jamieson
REGULATION AND LEGISLATION NOV 01, 2010
Election 2010: Should advisers be worried?

It's been an ugly, mud-slinging, smackdown of a campaign. The results may not be any prettier — at least, not for advocates of financial reform.

By Mark Schoeff Jr.
REGULATION AND LEGISLATION NOV 01, 2010
Elections could bench — or eject — heavy hitters

The potential for political upheaval on Capitol Hill following the Nov. 2 election has grabbed the attention of many financial interest groups — and has some preparing to change the targets for their advocacy efforts

By Mark Schoeff Jr.
INDUSTRY NEWS NOV 01, 2010
Biggest winner in November vote? Stocks, most likely

If history is any indication, the financial markets are likely to rally following the Nov. 2 elections

By Jeff Benjamin
PRACTICE MANAGEMENT NOV 01, 2010
Securities America lands $225M firm

Securities America Inc. has picked up Verus Capital Partners LLC, a Scottsdale, Ariz., firm with $225 million in assets and 20 advisers.

By Darla Mercado
INDUSTRY NEWS NOV 01, 2010
Anderson Strudwick picks up Jesup & Lamont reps

Anderson Strudwick Inc., a small, Richmond, Va.-based regional firm, continues to pick up offices and reps of troubled broker-dealers.

By Bruce Kelly
INDUSTRY NEWS OCT 31, 2010
SEC plans to issue new rules on broker pay

The Securities and Exchange Commission is targeting compensation practices across the brokerage industry — specifically the large upfront bonuses firms pay many brokers and advisers when they leave one firm and join another.

By Bruce Kelly and Mark Schoeff Jr.
INDUSTRY NEWS OCT 31, 2010
Finra critic gets tax law passed

Elton Johnson, owner of Amerivet Securities Inc., has made a name for himself by being a thorn in the side of the Financial Industry Regulatory Authority Inc.

By Dan Jamieson
INDUSTRY NEWS OCT 31, 2010
Risky distressed debt still paying modest reward

Returns from debt securities issued by companies that have defaulted or are close to defaulting are down from their double-digit gains of last year, but distressed debt is still a bright spot for investors

By Liz Skinner
RIAS OCT 31, 2010
Keeping a steady hand amid uncertainty

It isn't an overstatement to say that the future of the advice business hangs in the balance as federal agencies conduct scores of studies and write hundreds of regulations designed to carry out the sweeping mandates of the Dodd-Frank financial-reform law

By MFXFeeder
LIFE INSURANCE AND ANNUITIES OCT 31, 2010
Gauging clients' need for insurance beyond the house and car

Clients know that it is necessary to buy homeowners insurance and car insurance, but too many leave it at that

By Richard J. Koreto