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RETIREMENT PLANNING AUG 16, 2010
Why Warren Buffett could lose $8B

Berkshire Hathaway Inc., the company run by billionaire Warren Buffett, may have to set aside $8 billion in collateral for derivatives under proposed changes to U.S. financial regulations, a Barclays Capital analyst said.

By Bloomberg
Buffett: Directors, officers should be punished for risky business
PRACTICE MANAGEMENT AUG 16, 2010
Buffett: Directors, officers should be punished for risky business

In his latest letter to Berkshire Hathaway shareholders, Warren Buffett says directors and officers -- and not shareholders -- should take the hit for reckless investments.

By Associated Press
LIFE INSURANCE AND ANNUITIES AUG 16, 2010
MetLife top seller of annuities in 2009

MetLife stays at the top, with Prudential and TIAA-CREF right behind

By Darla Mercado
Buffett's annual letter no longer special delivery
LIFE INSURANCE AND ANNUITIES AUG 16, 2010
Buffett's annual letter no longer special delivery

The oracle's yearly note to Berkshire-Hathaway shareholders was once a big event in investor circles. Now, it's lost its luster. Blame familiarity.

By Associated Press
INDUSTRY NEWS AUG 15, 2010
Japan-like decade of deflation a 'real threat,' experts say

By some measures, deflation in United States is no longer a question of if, but for how long and how deep.

By Mark Bruno
OPINION AUG 15, 2010
Minorities can enrich financial services industry

The confirmation a year ago of the first Hispanic Supreme Court justice, following the election of the first black president, has signaled for many people a growing appreciation of racial diversity and inclusiveness in the United States.

By Lazetta Rainey Braxton
RETIREMENT PLANNING AUG 15, 2010
More retirement plans offering self-directed brokerage accounts

Defined-contribution plans are adding self-directed brokerage accounts as a way of giving participants more choices even as some plans reduce the number of core investment options.

By Robert Steyer
INDUSTRY NEWS AUG 15, 2010
Special report: The top SMAs

The second quarter opened up with high hopes and generally positive expectations for the remainder of the year.

By Mark Bruno
EQUITIES AUG 15, 2010
An overview of SMA performance in the second quarter

The second quarter opened up with high hopes and generally positive expectations for the remainder of the year. As noted last quarter, there was a wide variety of opinions on the strength of the recovery but a strong majority believed a recovery was in fact under way.

By Nathan Behan
REGULATION AND LEGISLATION AUG 15, 2010
NASAA: Advisers have begun prepping for threshold switch

Like many aspects of the financial-regulatory-reform legislation that became law July 21, the provision that increases the threshold for state regulation of investment advisers doesn't go into effect for another year.

By Mark Schoeff Jr.
INDUSTRY NEWS AUG 15, 2010
Stifel CEO downplays impact of fiduciary standard on brokers

Stifel Financial Corp., which has increased its brokerage force by 23% in the past year, won't be as buffeted as many analysts expect if regulators impose a fiduciary standard on brokers, the company's chief executive said last week.

By Jed Horowitz
REGULATION AND LEGISLATION AUG 15, 2010
Financial reform bodes well for TruPS

One likely outcome of the Dodd-Frank financial-reform legislation is that it will rally the TruPS.

By Jeff Benjamin
REGULATION AND LEGISLATION AUG 15, 2010
Finra wants more financial reporting from B-Ds

The Financial Industry Regulatory Authority Inc. is proposing a rule that would let the regulator demand more frequent financial reporting from its member firms — and as a first step, it wants more details on revenue and expenses.

By Dan Jamieson
RETIREMENT PLANNING AUG 15, 2010
Financial planner deduction? It's a long shot

By Mark Schoeff Jr.
REGULATION AND LEGISLATION AUG 15, 2010
Merrill Lynch defeats bid by black advisers to sue as group

A U.S. District Court judge has denied a bid for class action status by 17 black financial advisers in their five-year-old discrimination suit against the Merrill Lynch unit of Bank of America Corp.

By Bloomberg
SEC ending rule easing principal trades with advisory clients
REGULATION AND LEGISLATION AUG 15, 2010
SEC ending rule easing principal trades with advisory clients

Dually registered advisers not utilizing relief, regulator says

By Jed Horowitz
Aging of advisory biz a boon to young reps: Report
PRACTICE MANAGEMENT AUG 13, 2010
Aging of advisory biz a boon to young reps: Report

While the graying of the advisory industry creates the risk of having too few reps to meet the demand of aging boomers, it's a big opportunity for younger advisers eager to build their businesses.

By Lisa Shidler
INDUSTRY NEWS AUG 13, 2010
Peter Schiff: Preventing a devastating decline in the dollar

In a commentary about a month ago, I described how the economic world seemed to be drifting into two opposing camps: the Washington-based "Stimulators," who insist that more government debt is the best means to end the financial crisis, and the Berlin- and London-based "Austerians," who argue that debt is the crisis itself.

By Bloomberg
REGULATION AND LEGISLATION AUG 13, 2010
SEC's 12(b)-1 plan will hike costs for investors, brokers say

The commission's plan to cap the fees is intended to save investors some money. But some advisers predict it will actually drive up costs, as brokers shift to wrap accounts in a bid to preserve revenue

By Dan Jamieson
INDUSTRY NEWS AUG 13, 2010
Commodities funds brace for regulatory 'confusion'

Mutual fund companies may be largely unaffected by the financial services reform legislation, but they are girding for other types of regulation.

By Bloomberg