Advisor News

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RETIREMENT PLANNING OCT 08, 2010
Stick with stocks, says one of world's oldest investors

When it comes to investment strategies, 94-year-old Edward Zajac takes the long view. And it's paid off handsomely.

By Bloomberg
Retroactive estate tax for 2010 unlikely, says economist Young
RETIREMENT PLANNING OCT 08, 2010
Retroactive estate tax for 2010 unlikely, says economist Young

The longer Congress drags out setting an estate tax rate and exemption level, the less likely it is to impose a retroactive tax for 2010, according to an economist with a leading agricultural organization.

By Mark Schoeff Jr.
ETFS OCT 08, 2010
ETF providers want to curb market orders

ETF providers are lobbying for tighter restrictions on market orders as regulators consider additional rules to avert another “flash crash.”

By Jessica Toonkel
RETIREMENT PLANNING OCT 08, 2010
Auto-IRA bill formally proposed in Senate

After much discussion and anticipation, the Automatic IRA Act of 2010 was formally proposed Friday by Sen. Jeff Bingaman, D-N.M. If enacted, the bill could affect half of the country's working population.

By Hilary Johnson
REGULATION AND LEGISLATION OCT 08, 2010
Four more banks bite the dust

Regulators on Friday shut down Midwest Bank and Trust Company in Elmwood Park, Ill., as well as three smaller banks in Georgia, Michigan and Missouri to bring the number of U.S. bank failures this year to 72.

By Associated Press
FINTECH OCT 07, 2010
Will artificial intelligence one day threaten the advisory industry?

By Davis Janowski
MUTUAL FUNDS OCT 07, 2010
Accounting proposal will smack actively managed funds, critics say

Bookkeeping change seen raising expense ratios for AMFs, tilting field in favor of index funds

By Jessica Toonkel
LIFE INSURANCE AND ANNUITIES OCT 07, 2010
Point/Counterpoint: Are life settlements essentially securities?

On July 22, the Securities and Exchange Commission released a report from its Life Settlements Task Force which recommended that the SEC urge Congress to amend federal securities laws to include life settlements as securities.

By MFXFeeder
REGULATION AND LEGISLATION OCT 06, 2010
SEC should impose uniform fiduciary standard: NASAA

Despite the protests of life insurance agents and broker-dealers, the Securities and Exchange Commission should decide in favor of a uniform fiduciary standard for all investment professionals, according to the new head of the North American Securities Administrators Association Inc.

By Bruce Kelly
REGULATION AND LEGISLATION OCT 06, 2010
B-D exclusion would render single fiduciary standard pointless: Professor

Laby says provision must be scrapped if SEC wants to mandate single standard of care: 'It's got to go'

By Mark Schoeff Jr.
INDEPENDENT BROKER DEALERS OCT 06, 2010
Arbitrators: B-Ds kept brokers in the dark on private deals

From giants such as Citigroup Inc. to small broker-dealers such as Pacific West Securities Inc., brokerage firms have kept their representatives in the dark about problematic details in investments.

By Bruce Kelly
OPINION OCT 04, 2010
To serve middle class, expand your offerings

In his Aug. 9 letter to the editor, “Rally the troops to help middle-income people,” Kevin Condon, executive vice president of adviser services at Myfinancialadvice Inc., did a wonderful job of illuminating the important issue of providing financial planning advice to middle-income people.

By Terri Kallsen
FINTECH OCT 04, 2010
Protracker rolls out Form ADV Part 2 software

By Davis Janowski
FINTECH OCT 04, 2010
Cell mates: New devices help you find lost phone

Zomm, Phone Halo dialed in when you're not: why is your pocket flashing?

By Bloomberg
FINTECH OCT 04, 2010
Could new mutual fund evaluation tool put Morningstar and others on notice?

By Bloomberg
REGULATION AND LEGISLATION OCT 04, 2010
Finra hits Scottrade with $200K fine

The discount brokerage allegedly let day some traders using borrowed money keep on trading -- even though the value of their holdings fell below regulatory minimums

By Bloomberg
RETIREMENT PLANNING OCT 03, 2010
BrightScope launches tool for 401(k) asset managers

BrightScope Inc. today launched a new tool that allows investment-only 401(k) asset managers to pinpoint which retirement plans are using their funds — as well as those of their competitors.

By Darla Mercado
REGULATION AND LEGISLATION OCT 03, 2010
Solov: B-Ds bully clients in arbitration

Broker-dealers are browbeating clients to settle arbitration cases by inundating them with requests for discovery information, according to a top state securities regulator

By Bruce Kelly
MUTUAL FUNDS OCT 03, 2010
Investors turn to advisers for records related to market-timing scandals

By Jessica Toonkel
REGULATION AND LEGISLATION OCT 03, 2010
Bonus ban wallops Finra officials in the wallet

Faced with withering criticism about pay levels, the Financial Industry Regulatory Authority Inc. last year paid no bonuses to its top executives.

By Dan Jamieson