Advisor News

Displaying 26579 results
OPINION OCT 15, 2009
Do we still need ERISA? Only if we want to shortchange savers

With the technological advancements in money management platforms and payroll systems, one has to wonder whether the costs associated with ERISA compliance could be removed from the retirement plan system. If we could safely remove those costs, it's likely we could help employees accumulate between 20% and 30% more money for retirement. So it's worth considering.

By Charles J. Farrell
REGULATION AND LEGISLATION OCT 15, 2009
Former NHL star Sergei Fedorov files new suit connected to $60M in losses from financial adviser

Ex-Detroit Red Wings star Sergei Fedorov is suing his former lawyers, claiming they share responsibility for the loss of millions of dollars invested with another client.

By Associated Press
REGULATION AND LEGISLATION OCT 15, 2009
Schwab slapped with SEC warning; YieldPlus settlement may be on the horizon

The SEC's warning to the Charles Schwab Corp. that <a href= http://www.investmentnews.com/apps/pbcs.dll/article?AID=/20091015/FREE/910159992>it could face civil charges</a> over two fixed-income mutual funds may have a direct effect on current and looming legal actions from investors over losses suffered in the funds.

By Bruce Kelly
FINTECH OCT 15, 2009
Two new releases from ProTracker Software available

ProTracker Software Inc. has released an update to its Advantage <a href="//www.investmentnews.com/apps/pbcs.dll/article?AID=/20080415/REG/147477097/1102/INTechnologyNews03&quot;" target="&#8221;_blank&#8221;" rel="noopener noreferrer">customer relationship management</a> application. It also introduced Version 5 of its Compliance Manual product.

By Davis Janowski
RETIREMENT PLANNING OCT 14, 2009
Advisers staring at a new 'slew' of litigation from small-business clients

Financial advisers who have sold certain types of retirement and other benefit plans to small businesses might soon be facing a wave of lawsuits &#8212; unless Congress decides to take action soon.

By Bloomberg
REGULATION AND LEGISLATION OCT 14, 2009
Watchdog: Treasury wasn't prepared for AIG bonuses

The fierce debate over bonuses for bailed-out executives was revived on Capitol Hill Wednesday as a government watchdog explained how some executives nearly brought down the financial system &#8212; then pocketed millions.

By Bloomberg
OPINION OCT 13, 2009
The End of the Andrew Hall Saga

Shareholders Lose, Taxpayers Lose

By DSARCH
RETIREMENT PLANNING OCT 12, 2009
Roth IRA conversion confusion creates opportunity for advisers, Schwab study finds

The pending rule changes around Roth IRA conversions present a huge business opportunity for financial advisers to have deeper conversations with clients, according to a new survey by Charles Schwab &amp; Co. Inc.

By Jessica Toonkel Marquez
OPINION OCT 12, 2009
How helping the unemployed can help your practice

At a recent workshop, advisers told me they are finding that a surprisingly high percentage of their clients are unemployed. Advisers found this out during client reviews, and they said the news surprised them &#8212; clients had never called to let them know about their new circumstances.

By Maureen Wilke
OPINION OCT 11, 2009
Group aims to influence reform

The Committee for the Fiduciary Standard is an organization that every investor and financial professional should know about.

By Blaine F. Aikin
RIA NEWS OCT 11, 2009
Advisers to SEC: Take our money, please

Willing to go to any length to avoid oversight by Finra, financial advisers are reluctantly accepting the idea of paying the SEC to regulate them.

By Sara Hansard
REGULATION AND LEGISLATION OCT 11, 2009
IAA chief: Kanjorski bill would weaken Advisers Act

A proposal put forward by the Obama administration and Rep. Paul Kanjorski, D-Pa., chairman of the House Financial Services Subcommittee on Capital Markets, Insurance and Government Sponsored Enterprises, would weaken the Investment Advisers Act of 1940, according to the head of a group that represents federally registered advisers.

By Sara Hansard
FINTECH OCT 09, 2009
Broker-dealers get an upgrade option for data-sharing

Enhanced application and data integration available with second version of Albridge AppLink Albridge Solutions has announced the availability of version 2.0 of its AppLink technology, which is intended for use by its broker-dealer clients and their 100,000 financial advisers.

By Davis Janowski
REGULATION AND LEGISLATION OCT 09, 2009
Regions Financial, Merrill Lynch hit with class action

A Florida investor filed a federal class action against Regions Financial Corp., alleging that when the bank tried to obtain shareholder approval for a 2006 acquisition, it misrepresented its financial condition to the investors.

By Bloomberg
REGULATION AND LEGISLATION OCT 09, 2009
Score one for the NCAA: Rule upheld that bans college athletes from using advisers when going pro

A former Oklahoma State pitcher received a $750,000 settlement from the NCAA to end a lawsuit challenging a rule that bans college baseball players from using legal advisers in contract negotiations with professional teams.

By Associated Press
REGULATION AND LEGISLATION OCT 09, 2009
Obama would create consumer protection agency

President Barack Obama fought to keep his proposed banking overhaul on track Friday, casting the political struggle ahead as one between big financial interests and average Americans victimized by complex or unscrupulous financial transactions.

By Associated Press
PRACTICE MANAGEMENT OCT 08, 2009
Broker movement continues its decline, wirehouse reps staying put

The number of financial advisers fleeing large brokerages appears to be slowing, as many wirehouse reps are staying put &#8212; for now &#8212; or joining another wirehouse.

By Bloomberg
REGULATION AND LEGISLATION OCT 07, 2009
FSI calls for a self-regulator for investment advisers

But the Financial Services Institute Inc. isn't suggesting it should be Finra just yet

By Sara Hansard
REGULATION AND LEGISLATION OCT 06, 2009
Taking it to the Hill: Congress urged to unify standards for advisers and brokers

Regulators and investor advocates voiced support Tuesday for a proposal that addresses consumer protection and would bring investment funds under government supervision as part of Congress' efforts to revamp the U.S. financial rule book.

By Associated Press
REGULATION AND LEGISLATION OCT 06, 2009
Investor protection takes center-stage in Washington

House lawmakers crafting legislation to overhaul the system of financial regulation are focusing on the key elements of investor protection and bringing investment funds under government supervision as they hear the views of regulators, industry officials and investor advocates.

By Associated Press