Advisor News

Displaying 28343 results
House Republicans to SEC: Halt fiduciary duty rulemaking
LIFE INSURANCE AND ANNUITIES MAR 29, 2011
House Republicans to SEC: Halt fiduciary duty rulemaking

House Republicans want the SEC to halt its fiduciary duty rulemaking. Why? The GOP lawmakers say the commission needs to look harder at the impact of a universal standard of care.

By Mark Schoeff Jr
RETIREMENT PLANNING MAR 29, 2011
Salaries inching up for entry-level financial advisers

With the economy seemingly on the mend, newbie financial advisers are finding that it's a great time to be breaking into the game

By Liz Skinner
OPINION MAR 29, 2011
Value + momentum = Four stocks worth a punt

By John Dorfman
B-Ds down: Total reps displaced surpasses 2,400
INDEPENDENT BROKER DEALERS MAR 29, 2011
B-Ds down: Total reps displaced surpasses 2,400

With a number of indie B-Ds shuttering in the last 12 months, nearly 2,400 reps have been forced to find new broker-dealers.

By InvestmentNews Staff
So who's the big winner in the QA3 rep sweepstakes?
INDEPENDENT BROKER DEALERS MAR 29, 2011
So who's the big winner in the QA3 rep sweepstakes?

So who's the big winner in the QA3 rep sweepstakes? Right now, it looks like FSC Securities. The AIG unit is in line to snag 50 of the foundering B-D's reps.

By Bloomberg
REGULATION, LEGAL & COMPLIANCE MAR 29, 2011
The road to 'broviser': Harmonization would mean more work for advisers

In the wake of the recent SEC report that recommends a universal fiduciary standard for personalized retail investment advice, most attention has focused on the potential impact on broker-dealers

By Mark Schoeff Jr.
DOL extends period for grousing about 'fiduciary' definition
LIFE INSURANCE AND ANNUITIES MAR 28, 2011
DOL extends period for grousing about 'fiduciary' definition

Department pushes back deadline for comments by 15 days

By Darla Mercado
REGULATION, LEGAL & COMPLIANCE MAR 28, 2011
DOL, industry spar over fund lineups

The Labor Department and representatives from service providers and pension advocacy groups sparred last week about whether presenting a retirement plan with a fund lineup constitutes investment advice

By Darla Mercado
WIREHOUSES MAR 28, 2011
From the Headhunter: The offer advisers can't refuse

By Bloomberg
Pension group calls DOL disclaimer for B-Ds 'unduly harsh'
RETIREMENT PLANNING MAR 28, 2011
Pension group calls DOL disclaimer for B-Ds 'unduly harsh'

ASPPA rails against proposal requiring brokers to disclose that they're not impartial and not working in a plan's best interest

By Bloomberg
WIREHOUSES MAR 28, 2011
Why doesn't Wells Fargo expand its 'Profit Formula' — and why haven't other firms copied it?

Are you familiar with the Wells Fargo Profit Formula program? It was designed and originally launched by Wheat First, the Richmond, VA based regional broker dealer bought out by First Union in 1997. Wachovia and First Union merged in 2001, and Wells saved Wachovia from collapse in 2009.

By Danny Sarch
REGULATION, LEGAL & COMPLIANCE MAR 28, 2011
Watchdog agency seen steering clear of investment advisers

The new consumer protection agency won't extend its jurisdiction to areas involving investment advisers or insurance agents, according to a Treasury Department official involved with setting it up

By Mark Schoeff Jr.
WIREHOUSES MAR 28, 2011
More wirehouse blues?

Once, big firms battled other big firms for the best advisory talent. Now, smaller firms are nipping at their heels as well.

By Danny Sarch
SEC charges radio personality with fraud
REGULATION, LEGAL & COMPLIANCE MAR 27, 2011
SEC charges radio personality with fraud

The Securities and Exchange Commission on Friday slapped an adviser and radio personality know as “The MoneyMan” with fraud charges after his firm encouraged clients to invest in promissory notes linked to a company with which he associated.

By Darla Mercado
RETIREMENT PLANNING MAR 27, 2011
BlackRock is hiring to boost DC business

In a bid to expand its financial-adviser-sold defined-contribution business, BlackRock Inc. is tapping former executives of a retirement-focused broker-dealer that LPL Investment Holdings Inc. bought last year

By Jessica Toonkel
REGULATION, LEGAL & COMPLIANCE MAR 27, 2011
Time to put real teeth on accredited-investor rules

It is time for the Securities and Exchange Commission to set an even more rigorous net-worth standard for “accredited” investors than the requirements set forth in the Dodd-Frank financial reform law

By MFXFeeder
RETIREMENT PLANNING MAR 27, 2011
Big shake-up happening in Putnam's retirement unit

Putnam Investments has reorganized the senior ranks of its retirement division and is in the process of getting rid of all non-functional titles among senior executives across the company

By Jessica Toonkel
INDEPENDENT BROKER DEALERS MAR 27, 2011
Securities America advisers left in limbo

By Bruce Kelly
RETIREMENT PLANNING MAR 27, 2011
New regulations spur cheaper 401(k) options

As advisers to 401(k) plans brace for upcoming regulations mandating greater fee disclosure, The Charles Schwab Corp., BlackRock Inc. and TD Ameritrade Trust Co. are among a number of firms that are launching lower-cost options ranging from exchange-traded funds to index-fund-only plans

By Jessica Toonkel
REGULATION, LEGAL & COMPLIANCE MAR 25, 2011
SEC: We haven't forgotten about 12(b)-1 fees

Commissioner Walter says the regulator will start work in July on capping the marketing fee. This may not sit well with brokers or mutal fund providers.

By John Goff