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REGULATION AND LEGISLATION JUN 30, 2010
Finra's battle with Jesup is heating up

A series of nasty legal fights involving Jesup & Lamont Inc., Penson and Finra may be coming to a head.

By Dan Jamieson
RETIREMENT PLANNING JUN 29, 2010
SEC inquiry sacks home health stocks

Shares of home health providers sank Wednesday as an investigation into the industry's Medicare reimbursement practices expanded.

By Bloomberg
REGULATION AND LEGISLATION JUN 29, 2010
Byrd's death, last-minute add-ons cast doubt on financial bill's future

The sweeping financial-regulatory reform bill faces an uncertain fate in the Senate following the death early today of Sen. Robert Byrd, D-West Virginia.

By Bloomberg
RETIREMENT PLANNING JUN 29, 2010
New York's top court says estates can bring malpractice suits

Overturning state law, New York's highest court this month ruled that estates and beneficiaries can sue estate-planning attorneys for malpractice.

By Bloomberg
INDUSTRY NEWS JUN 29, 2010
Paging P.T. Barnum: Fees on some broker-sold notes exceed possible return

Complex reverse convertibles mostly sold to individual investors; 'inconceivable'

By Bloomberg
RIAS JUN 29, 2010
GenSpring defines the fiduciary divide

A champion of the fiduciary standard sought to drive a wedge between brokerage and advisory firms today.

By Hilary Johnson
REGULATION AND LEGISLATION JUN 29, 2010
A 'major tax hit' lurking for financial planners

By Mark Schoeff Jr.
RETIREMENT PLANNING JUN 29, 2010
GenSpring nabs wealth management vet to lead California expansion

Mark A. Mushkat, a 20 year veteran of the wealth management industry, comes from Harris myCFO, a unit of Harris Private Bank.

By Hilary Johnson
INDUSTRY NEWS JUN 29, 2010
Quant firms tinker with factor weightings

A growing number of quantitative equity managers are striving to match their computer models to changing market environments better as they fight to reverse the performance drought they've been in since the start of the financial crisis in mid-2007.

By Douglas Appell
REGULATION AND LEGISLATION JUN 29, 2010
Banned SagePoint broker testifies he received 'gifts' — not fees

The banned broker's responses to questioning, however, often come across as confused.

By Bloomberg
INDUSTRY NEWS JUN 29, 2010
Specter proposes jail time for B-Ds who violate standards

Arlen Specter wants to dramatically ratchet up the standard of care required of broker-dealers. Part of that ratcheting up: a possible 25 year jail sentence for B-Ds who willfully violate the tougher standard.

By InvestmentNews Staff
INDUSTRY NEWS JUN 29, 2010
To hedge against inflation, wealthy stock up on hard assets

Although it is debatable whether inflation will become a problem for the U.S. economy, wealthy investors aren't taking any chances and are piling into tangible assets.

By Hilary Johnson
INDUSTRY NEWS JUN 29, 2010
Independent broker-dealer breakdown: Assets rankings

Here are two lists on the total account asset amounts at the largest independent broker-dealers, based on information that <i>InvestmentNews</i> has gathered directly from the firms that participated in the annual survey.

By mlanche
INDUSTRY NEWS JUN 29, 2010
Jeremy Grantham: Playing with fire (a possible race to the old highs)

It's spring, and this spring a young man's fancy lightly turns to thoughts of speculation. The Fed's promises look good and, as long as you're not a small business, you can borrow to invest or speculate at no cost.

By Jeremy Grantham
REGULATION AND LEGISLATION JUN 29, 2010
Adviser – and investment author – facing private-placement dust-up

Bambi Holzer hit with client complaint over selling of risky offerings; broker has appeared on 'Today,' CNN and CNBC

By Bruce Kelly
REGULATION AND LEGISLATION JUN 29, 2010
Lawyer to Finra: Private-placement litigants suffering from 'selective amnesia'

With the sale of private placements facing intense scrutiny from securities regulators, one due diligence attorney has fired off a potent missive to Finra officials about clients' responsibilities when buying the high risk deals.

By Bruce Kelly
REGULATION AND LEGISLATION JUN 29, 2010
Obama's 'Glass-Steagall lite' surprises even staunch supporters

The Obama administration's stepped up demand for tougher restrictions and new taxes on big banks is complicating Senate efforts to write a bipartisan financial regulation overhaul, even drawing a sharp rebuke from a top presidential ally in the Senate.

By Associated Press
Charles Schwab's Barnaby Grist leaving for new Lightyear brokerage business
INDUSTRY NEWS JUN 29, 2010
Charles Schwab's Barnaby Grist leaving for new Lightyear brokerage business

Barnaby Grist, senior managing director of strategic business development at Charles Schwab Corp.'s investment advisor group, is leaving to join Cetera Financial Group, a new independent brokerage venture controlled by Lightyear Capital LLC.

By Jed Horowitz
BROKER DEALERS JUN 29, 2010
Lightyear wraps up purchase of ING B-Ds, re-brands group Cetera

Private-equity firm Lightyear Capital LLC today announced that it has completed its acquisition of three ING Groep NV broker-dealers.

By John Goff
ALTERNATIVES JUN 29, 2010
NY investment firm gaga for green acres

New York-based Optima Fund Management, a $6 billion fund of hedge funds, thinks farming is a growing business.

By Hilary Potkewitz