Advisor News

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RIA NEWS MAY 09, 2007
Fidelity unveils systems for RIAs

Fidelity Investments, in cooperation with Oracle Corp. and Emerging Information Systems Inc., has created two web-based customer relationship management and financial planning systems for registered investment advisers, the Boston-based firm announced today.

By Bloomberg
WIREHOUSES MAY 09, 2007
Legg Mason 4Q profits jump 15%

Legg Mason Inc. posted a 15% increase in net income as increased advisory fees drove assets under management to record levels.

By Bloomberg
INDEPENDENT BROKER DEALERS MAY 09, 2007
ING cuts fees for advisers

As part of effort to spiff up its fee business, the ING Advisors broker-dealers have cut fees that their advisers pay for two key advisory offerings.

By Bloomberg
WIREHOUSES MAY 08, 2007
Schwab looks beyond boomers

Charles Schwab Investment Management has lowered its minimum initial investment in mutual funds to $100 as part of a sweeping effort to capture younger investors.

By Bloomberg
INDEPENDENT BROKER DEALERS MAY 08, 2007
Fidelity B-Ds fined for misleading G.I.s

NASD announced today that it has fined two Fidelity Investments broker-dealers $400,000 for preparing and distributing misleading sales literature promoting plans that were sold primarily to U.S. military personnel.

By Bloomberg
WIREHOUSES MAY 08, 2007
Citigroup to pay $200,000 for unit's misdeeds

Citigroup Inc. has agreed to pay $200,000 to settle charges with the Securities and Exchange Commission regarding one of its brokerage units that manipulated auctions involving municipal and corporate bonds.

By Bloomberg
WIREHOUSES MAY 08, 2007
JPMorgan to stop payments to alum associations

JPMorgan Chase & Co. has agreed to stop making payments to more than 100 college alumni associations that allowed the company to market its consolidation loans directly to graduates, according to the Wall Street Journal.

By Bloomberg
WIREHOUSES MAY 08, 2007
Citigroup's all about the green

Citigroup Inc. today announced that it will spend $50 billion over the 10 years to address global climate change, the largest such move ever by Wall Street firm.

By Bloomberg
MUTUAL FUNDS MAY 07, 2007
Funds slow pace of hiring legal, compliance staff

Mutual fund companies are starting to slow the pace at which they hire legal and compliance officers, according to several industry experts. With the mutual fund scandals receding into the past, such a trend was inevitable, they said.

By Bloomberg
OPINION MAY 07, 2007
Advisers wise to prepare succession plans

By ewilliams
INDEPENDENT BROKER DEALERS MAY 07, 2007
INVEST buys PFIC Securities contracts

INVEST Financial Corp. of Tampa, Fla., this morning said it has acquired the contracts of nearly 400 bank-based registered representatives of PFIC Securities Corp. of Franklin, Tenn., a subsidiary of Morgan Keegan & Co. Inc. of Memphis.

By Bloomberg
WIREHOUSES MAY 07, 2007
T. Rowe expands website for advisers

By Bloomberg
REGULATION AND LEGISLATION MAY 07, 2007
New service agreement at TD Ameritrade causes flap

Amid protest from its advisers that they are being asked to assume too much liability, TD Ameritrade Institutional is going back to the drawing board with its new service agreement.

By Bloomberg
INDEPENDENT BROKER DEALERS MAY 07, 2007
RJ unit takes internal heat

Thomas James clearly is displeased with the growth at Raymond James Financial Services Inc.

By Bloomberg
LIFE INSURANCE AND ANNUITIES MAY 07, 2007
Equity index annuity insurers are facing more lawsuits

New accusations against equity index annuity sellers may lead to regulatory grief comparable to what property-casualty firms suffered during the contingent- commission scandal a couple of years ago, industry observers say.

By Bloomberg
RETIREMENT PLANNING MAY 07, 2007
Financial services companies open purse strings for top execs

Many top executives at large financial services companies saw a big jump in pay last year.

By Bloomberg
REGULATION AND LEGISLATION MAY 07, 2007
Separately managed account quandary

While advisers want their separately managed accounts made available on unified managed account systems, SMA managers fear that that will result in a loss of control over how their products are marketed.

By Bloomberg
OPINION MAY 07, 2007
Plan sponsor’s fail-safe: Using RIA as a co-fiduciary

Many Employee Retirement Income Security Act fiduciaries, including plan sponsors, trustees and members of investment committees, are unaware of their significant responsibilities relating to the prudent selection and monitoring of plan asset investments, and the proper operation of their qualified plans.

By Bloomberg
INDEPENDENT BROKER DEALERS MAY 07, 2007
FSI wants SEC to change its privacy rule

NEW YORK — Looking to de-fuse a potential time bomb for independent-contractor broker-dealers, the Financial Services Institute Inc. wants the Securities and Exchange Commission to change its privacy rule.

By Bloomberg
REGULATION AND LEGISLATION MAY 07, 2007
NASD expands broker, firm disciplinary information

IRVINE, Calif. — NASD is expanding the disciplinary information it discloses about brokers and firms.

By Bloomberg