Advisor News

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Tools and technologies to implement DOL fiduciary compliance
FINTECH AUG 18, 2016
Tools and technologies to implement DOL fiduciary compliance

The depth and breadth of the new DOL fiduciary rules requires all firms to consider outsourcing aspects of their practices and/or adding new technology.

By Sheryl Rowling
Columbia University targeted in $100 million lawsuit over excessive retirement plan fees
RETIREMENT PLANNING AUG 18, 2016
Columbia University targeted in $100 million lawsuit over excessive retirement plan fees

The suit, not brought by Jerry Schlichter's law firm, could signal a 'race to the courthouse' in the university 403(b) market.

By Greg Iacurci
When clients call the stock market a big bubble, here's what to say
FINTECH AUG 17, 2016
When clients call the stock market a big bubble, here's what to say

By John Waggoner
Why Modern Portfolio Theory is frozen in time
OPINION AUG 17, 2016
Why Modern Portfolio Theory is frozen in time

MPT can lead RIAs to keep investors locked into investment decisions based on forecasting models that don't adapt to ever-changing market conditions

By Jeffrey S. Ferraro
Alleviating financial advisers' pain with account openings
FINTECH AUG 17, 2016
Alleviating financial advisers' pain with account openings

The traditional process of signing on clients takes too long, unlike their online counterparts.

By Alessandra Malito
Side-by-side comparison of Clinton, Trump tax plans
RETIREMENT PLANNING AUG 17, 2016
Side-by-side comparison of Clinton, Trump tax plans

Stark differences include one presidential candidate who seeks to raise income taxes on the wealthiest Americans while the other would cut them across the board.

By Mark Schoeff Jr.
Duke, Johns Hopkins, UPenn and Vanderbilt latest schools under fire for excessive 403(b) fees
RETIREMENT PLANNING AUG 17, 2016
Duke, Johns Hopkins, UPenn and Vanderbilt latest schools under fire for excessive 403(b) fees

Attorneys, ever present in the 401(k) market, are beginning to target university 403(b) plans. These lawsuits follow close on the heels of ones against MIT, NYU and Yale.

By Greg Iacurci
Neuberger Berman sued for excessive 401(k) fees
RETIREMENT PLANNING AUG 17, 2016
Neuberger Berman sued for excessive 401(k) fees

Another financial services company has been targeted for costly proprietary investments in its 401(k) plan, leading to allegations of self-dealing at the expense of employees.

By Greg Iacurci
Insurers developing fee-based fixed-indexed annuities post-DOL fiduciary rule
LIFE INSURANCE AND ANNUITIES AUG 17, 2016
Insurers developing fee-based fixed-indexed annuities post-DOL fiduciary rule

Allianz, Voya, Symetra and Lincoln Financial are forging ahead into virtually uncharted waters for product development.

By Greg Iacurci
INDEPENDENT BROKER DEALERS AUG 17, 2016
The SEC's case against Dawn J. Bennett

The adviser boycotted her enforcement hearing, but that may not stop the regulator from throwing her out of the securities industry.

By Jeff Benjamin
INDEPENDENT BROKER DEALERS AUG 17, 2016
LPL quit FSI after two sides couldn't agree on membership discount

Lobbying group's chairwoman said its biggest member firm bolted after it couldn't get a break on annual dues for large firms.

By Bruce Kelly
Primerica expects to pay $4M-$5M per year to comply with DOL fiduciary rule
RETIREMENT PLANNING AUG 16, 2016
Primerica expects to pay $4M-$5M per year to comply with DOL fiduciary rule

The insurer joins other financial services companies such as Ameriprise and Principal, who've detailed rising compliance costs associated with the regulation.

By Greg Iacurci
Careful planning can help public employees avoid Social Security reductions
RETIREMENT PLANNING AUG 16, 2016
Careful planning can help public employees avoid Social Security reductions

One adviser helped his client avoid Social Security reductions by carefully mapping out when to take her benefits and pension.

By Mary Beth Franklin
New estate rule would affect tax strategies of ultra-wealthy
PRACTICE MANAGEMENT AUG 16, 2016
New estate rule would affect tax strategies of ultra-wealthy

Treasury Department's proposed regulation aims to curb tax-planning approaches that lower the valuation of stakes in corporations or partnerships.

By Mark Schoeff Jr.
Ameriprise spends $11 million-plus this year on DOL fiduciary rule
INDEPENDENT BROKER DEALERS AUG 16, 2016
Ameriprise spends $11 million-plus this year on DOL fiduciary rule

The expense speaks to the difficulty broker-dealers are facing to comply with the controversial new regulation.

By Greg Iacurci
Health savings account limits to increase for some in 2017
RETIREMENT PLANNING AUG 16, 2016
Health savings account limits to increase for some in 2017

But policy buyers on Healthcare.gov may be out of luck.

By Mary Beth Franklin
SEC to audit RIAs over the types of mutual fund share classes they sell to clients
RIA NEWS AUG 16, 2016
SEC to audit RIAs over the types of mutual fund share classes they sell to clients

The agency is particularly interested in conflicts of interest where the adviser is also a broker-dealer or affiliated with a broker-dealer that gets fees from sales of particular share classes.

By John Waggoner
Wealthy retirees too cautious to enjoy stock market high
RETIREMENT PLANNING AUG 16, 2016
Wealthy retirees too cautious to enjoy stock market high

Older baby boomers have seen the S&P 500 return 269% since its March 2009 low.

By Bloomberg
Larry Roth out as CEO of Cetera?
INDEPENDENT BROKER DEALERS AUG 15, 2016
Larry Roth out as CEO of Cetera?

By Bruce Kelly
Social Security and dying too soon
RETIREMENT PLANNING AUG 15, 2016
Social Security and dying too soon

Beneficiaries may have to wait years to collect benefits; some never do.

By Mary Beth Franklin