Advisor News

Displaying 26598 results
What advisers should do after a cyberattack
FINTECH JUN 02, 2015
What advisers should do after a cyberattack

Hacks are becoming more common, and knowing how to respond quickly is critical.

By Alessandra Malito
More than ever, advisers make a splash with social media
FINTECH JUN 02, 2015
More than ever, advisers make a splash with social media

Use of LinkedIn, Facebook and Twitter all up significantly, surveys show

By Alessandra Malito
REGULATION AND LEGISLATION JUN 01, 2015
Digital services must adhere to core fiduciary principles

Advisers should step back from the current industry fixation on digital portfolio management capabilities to think about what investors may find most useful.

By Blaine F. Aikin
Supreme Court rulings imminent in cases with financial planning implications
REGULATION AND LEGISLATION JUN 01, 2015
Supreme Court rulings imminent in cases with financial planning implications

High court is set to announce opinions in two cases — one on same-sex marriage and another on health care — that will impact the advice financial planners deliver to clients.

By Liz Skinner
Supreme Court decision in 401(k) case may have profound effect on fiduciary debate
RETIREMENT PLANNING JUN 01, 2015
Supreme Court decision in 401(k) case may have profound effect on fiduciary debate

Portions of the recent decision appear to be at odds with the DOL's intentions.

By Brendan P. McGarry and Stefan R. Dandelles
Finra wants to allow online CE training
PRACTICE MANAGEMENT JUN 01, 2015
Finra wants to allow online CE training

Brokers would be able to conduct continuing education online rather than having to go to a test center.

By Mark Schoeff Jr.
RETIREMENT PLANNING JUN 01, 2015
Tax assessors scope out property with Cessnas, including in the Hamptons

Stymied by hedgerows and long driveways, local jurisdictions have found a way to look over the fences.

By Bloomberg
Finra sends BrokerCheck link rule to SEC
PRACTICE MANAGEMENT JUN 01, 2015
Finra sends BrokerCheck link rule to SEC

Proposal would require brokerage firms to include links from their websites to a public database containing brokers' histories.

By Mark Schoeff Jr.
Reported Wells Fargo-Financial Engines deal may ease rollover harvest — for now, say experts
RETIREMENT PLANNING JUN 01, 2015
Reported Wells Fargo-Financial Engines deal may ease rollover harvest — for now, say experts

The relationship could work well for non-fiduciary reps who service retirement plans, but that would change if the Department of Labor's fiduciary rule proposal passes in its current form.

By Darla Mercado
Congressman calls for Finra oversight of investment advisers
PRACTICE MANAGEMENT JUN 01, 2015
Congressman calls for Finra oversight of investment advisers

Rep. French Hill says the broker-dealer SRO is the best equipped regulator for the job.

By Mark Schoeff Jr.
Finra's Ketchum criticizes DOL fiduciary rule
PRACTICE MANAGEMENT JUN 01, 2015
Finra's Ketchum criticizes DOL fiduciary rule

Chief broker regulator finds a lot to dislike in proposal, including unintended consequences such as a possible cutback in sales of IRAs.

By Mark Schoeff Jr.
Vanguard widens lead over Fidelity in managing retirement assets
RETIREMENT PLANNING JUN 01, 2015
Vanguard widens lead over Fidelity in managing retirement assets

Pensions & Investments survey finds fund giant still tops in managing retirement assets, followed by Fidelity. BlackRock is gaining ground, helped by target date, index funds.

By Robert Steyer
Merrill seeks to be leader on fiduciary
WIREHOUSES JUN 01, 2015
Merrill seeks to be leader on fiduciary

John Thiel's outspoken support of a best-interest standard and the Labor Department's effort puts pressure on peers. <i>(See also: <a href=&quot;http://www.investmentnews.com/article/20150414/FREE/150419976/labor-department-proposes-controversial-fiduciary-rule&quot; target=&quot;_blank&quot;>DOL proposes controversial fiduciary rule</a>)</i>

By Mason Braswell
Finra arbitration panel awards investor $1.3 million from ex-Stifel broker
REGULATION AND LEGISLATION JUN 01, 2015
Finra arbitration panel awards investor $1.3 million from ex-Stifel broker

Broker's former daughter-in-law claims churning and fiduciary breach.

By Mark Schoeff Jr.
PRACTICE MANAGEMENT JUN 01, 2015
Finra's BrokerCheck gets a facelift

Finra makes some information more prominent, but system still doesn't go far enough plaintiffs' attorneys say.

By Mason Braswell
INDEPENDENT BROKER DEALERS JUN 01, 2015
Stifel to acquire Sterne Agee for $150 million

$150 million acquisition adds about 730 advisers and independent reps managing more than $20 billion in client assets to the St. Louis firm run by Ron Kruszewski.

By Bruce Kelly
OPINION MAY 31, 2015
Sometimes life happens

Yes, retirement is important, but so are other financial goals

By MFXFeeder
OPINION MAY 31, 2015
Is JPMorgan too big to manage?

Stream of scandals, most suggesting failure of oversight by its management, raises the issue

By MFXFeeder
PRACTICE MANAGEMENT MAY 29, 2015
SEC seeks public comments on exchange-traded products

Regulator wants feedback on listing, trading and marketing of ETPs.

By Mark Schoeff Jr.
The heavy downer of seeing GDP revised downward
EQUITIES MAY 29, 2015
The heavy downer of seeing GDP revised downward

<i>Breakfast with Benjamin</i>: A downward revision of first quarter GDP can be called an aberration, but that won't make it any less bad.

By Jeff Benjamin