Advisor News

Displaying 26587 results
REGULATION AND LEGISLATION JAN 11, 2010
Prosecutors flag L.A. man in alleged Nascar Ponzi scheme

A Los Angeles man has pleaded not guilty to running a Ponzi scheme that cheated about 50 investors in a NASCAR merchandise wholesale business out of at least $10 million.

By Associated Press
PRACTICE MANAGEMENT JAN 11, 2010
Next hot job? Compliance officer at financial firm

People who knew how to make a quick buck held some of the fastest-growing jobs two years ago. Now, the growth industry is in helping financial firms figure out how to follow the rules.

By Associated Press
REGULATION AND LEGISLATION JAN 10, 2010
Finra arbitration cases soar

New arbitrations filed with Finra surged in 2009 to 7,137 cases, up from 4,982 cases in 2008, according to statistics recently released by Finra. That's a 43% gain.

By Darla Mercado
REGULATION AND LEGISLATION JAN 10, 2010
Scott Brown victory in Massachusetts could delay – even derail – financial reforms

The upset election of Scott Brown to the U.S. Senate seat from Massachusetts will have a more modest impact on financial services regulatory-reform legislation than on health care reform. But the stunning result in Massachusetts will give Republican members of the Senate Banking Committee a stronger hand in shaping financial reform.

By Sara Hansard
REGULATION AND LEGISLATION JAN 10, 2010
Former rep wins $4 million in defamation case

By Dan Jamieson
RETIREMENT PLANNING JAN 10, 2010
Lord Abbett offers discounts on IRAs

By Jessica Toonkel Marquez
FINTECH JAN 10, 2010
Tamarac takes a leap by offering a single solution

By Davis Janowski
REGULATION AND LEGISLATION JAN 08, 2010
Finra to probe Thomas Weisel over brokers' $15.7M in auction-rate sales

Thomas Weisel Partners Group Inc., the San Francisco-based investment bank, faces a regulatory probe over the sale of $15.7 million in auction-rate securities as the market neared collapse.

By Bloomberg
List of failed banks gets longer
REGULATION AND LEGISLATION JAN 08, 2010
List of failed banks gets longer

The FDIC seized another four banks late last week, bringing the year's tally to 41. And there's plenty more where that came from

By Associated Press
RIA NEWS JAN 08, 2010
State tax collections dip, raising concerns about muni bonds

“Headline risk” associated with municipal bonds went up today when the U.S. Census Bureau released data that state government tax collections totaled $715.2 billion in fiscal year 2009. That's a decrease of nearly $67 billion (8.6%) from fiscal 2008.

By David Hoffman
LIFE INSURANCE AND ANNUITIES JAN 08, 2010
Treasury, Labor Dept. seek info on using annuities in 401(k)s

The Department of Labor and the Treasury Department have put out a request for information on the use of annuities in defined-contribution plans.

By Bloomberg
RETIREMENT PLANNING JAN 08, 2010
Brightscope launches 401(k) fee tool for advisers, investors

BrightScope Inc., a provider of 401(k) plan ratings, today introduced a new online tool that provides investors with personalized data about how much they are paying in fees in their retirement plans.

By Jessica Toonkel Marquez
RETIREMENT PLANNING JAN 08, 2010
Caterpillar settlement could make 401(k) advisers vulnerable to fee suits

Caterpillar Inc.'s announcement that it has reached a tentative settlement over the fees it charged its 401(k) plan participants may be bad news for plan sponsors, their advisers and mutual fund companies.

By Jessica Toonkel Marquez
RETIREMENT PLANNING JAN 08, 2010
Employees name investment adviser in 401(k) suit

New targets have surfaced for lawsuits over 401(k) fees: small retirement plans, their investment advisers and service providers.

By Mark Bruno
OPINION JAN 07, 2010
It's Time to Declare a Major

If you don't have it figured it out, how will your clients/prospects?

By Danny Sarch
REGULATION AND LEGISLATION JAN 07, 2010
Dodd exit opens door for WWE's McMahon, other Republicans

Connecticut Sen. Christopher Dodd, a five-term Democrat whose political stock began falling after the financial meltdown and his failed 2008 presidential bid, has decided not to seek re-election in November, Democratic officials told The Associated Press early Wednesday.

By Bloomberg
REGULATION AND LEGISLATION JAN 07, 2010
Sparks fly over 'hat-switching' provision

A one-sentence provision buried in the sweeping financial services reform legislation passed by the House this month has once again pitted investment adviser groups against brokerage groups.

By Sara Hansard
REGULATION AND LEGISLATION JAN 07, 2010
SEC's Schapiro: One fiduciary standard needed for all securities professionals

Securities and Exchange Commission Chairman Mary Schapiro today called for subjecting all securities professionals to the same standards of conduct and licensing requirements.

By Sara Hansard
LIFE INSURANCE AND ANNUITIES JAN 07, 2010
Insurance agents to Dodd: Don't force us to take on RIA role

Life insurance agents' advocacy groups teamed up this month to ask Senate Banking Committee Chairman Christopher Dodd, D-Conn., to reconsider a legislative provision that would require life agents to become registered investment advisers.

By Darla Mercado
FINTECH JAN 07, 2010
Finally, hope for advisers who want to tweet – but not delete

Many advisers feel stymied when it comes to adopting social media. But for independent registered investment advisers whose main hurdle has been lack of a low-cost archiving, help is on its way.

By Davis Janowski