Advisor News

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PRACTICE MANAGEMENT SEP 06, 2009
SEC's Schapiro issues warning to broker-dealer executives

Securities and Exchange Commission Chairman Mary L. Schapiro last week issued an open letter to broker-dealer chief executives, warning them to make sure supervisors are vigilant about conflicts of interests as they recruit registered representatives.

By Staff Report
REGULATION AND LEGISLATION SEP 06, 2009
Michigan football coach faces $3.9M suit in loan

An Alabama bank is suing University of Michigan football coach Rich Rodriguez for defaulting on a real estate loan — but his adviser claims that the coach was the victim of a Ponzi scheme.

By Sue Asci
RETIREMENT PLANNING SEP 04, 2009
401k contribution limits face potential fall

You've probably heard it over and over again: contribute up to the maximum amount in your 401(k) plan to improve your chances of a comfortable retirement.

By Bloomberg
REGULATION AND LEGISLATION SEP 04, 2009
Kennedy's death impacts Wall Street reform effort

President Barack Obama's plan to recast how the government regulates Wall Street could be thrown a curve this fall if Sen. Tim Johnson, a Democrat whose home state is a major hub for credit card companies, takes over the chairmanship of the Senate's banking committee.

By Bloomberg
RETIREMENT PLANNING SEP 04, 2009
LPL expands retirement platform for 401(k) advisers

LPL Financial is continuing to add to its platform of retirement offerings and products for reps and advisers focused on the 401(k) market.

By Bruce Kelly
FINTECH SEP 03, 2009
Making the grade: Investors can rate advisers on new website

Clients will be able to rate their financial advisers using a website launched this week.

By Sue Asci
ALTERNATIVES SEP 03, 2009
Got alts? Rydex rolls out alternative investment site for advisers

Rydex SGI has taken its alternative investment message to a new medium with the launch of a new website, <a hef=http://www.GetAlts.com>GetAlts.com</a>.

By Jeff Benjamin
REGULATION AND LEGISLATION SEP 02, 2009
College savings plan legislation likely to be sidelined by health care push

A bill that would continue to allow investors in Section 529 college savings plans to make two changes each year to their investment allocations appears unlikely to pass the House anytime soon, industry and Washington insiders say.

By Charles Paikert
REGULATION AND LEGISLATION SEP 02, 2009
SEC, CFTC to 'harmonize' rules

Two agencies with oversight of the financial markets are trying to coordinate their regulations to eliminate differences involving similar types of investments and instruments

By Bloomberg
FINTECH SEP 01, 2009
Schwab unveils major upgrade of website for advisers

Schwab Institutional today unveiled a significant redesign of its website for financial advisers.

By Davis Janowski
WIREHOUSES SEP 01, 2009
David A. Noyes adds wirehouse advisers to its lineup

The consolidation and regulatory changes facing the wirehouse brokerage industry is proving to be a bonanza for David A. Noyes &amp; Co., an advisory firm that recently added six veteran financial advisers to its ranks.

By Jeff Benjamin
OPINION AUG 31, 2009
What is "culture" at a company anyway?

Can you keep that &quot;culture&quot; intact with so many changes happening within the organization?

By Danny Sarch
FINTECH AUG 28, 2009
Bond portal added to S&P's MarketScope Advisor challenges Morningstar research offerings

The popular MarketScope Advisor platform from Standard &amp; Poor's has a new addition this week, a bond research portal.

By Bloomberg
REGULATION AND LEGISLATION AUG 27, 2009
Sorry, Charlie; the game is over

If only you had read my column a year ago and resigned, as I suggested, you could have been enjoying yourself this summer rather than be dealing with an ever-widening mess.

By Jim Pavia
REGULATION AND LEGISLATION AUG 27, 2009
Merrill Lynch stock-drop suit settled for $75 million

A federal judge gave final approval to a $75 million settlement between Merrill Lynch and employees who sued the New York-based brokerage house in 2007 to recover losses they sustained from holding Merrill company stock in their retirement plans.

By Dan Jamieson
LIFE INSURANCE AND ANNUITIES AUG 26, 2009
Widow files arbitration claim against Ameriprise over VA sale to elderly spouse

A widow yesterday filed an arbitration claim with the Financial Industry Regulatory Authority Inc. against Ameriprise Financial Services Inc., alleging that a broker there failed to properly advise her aged husband on a variable annuity purchase and botched a beneficiary designation.

By Darla Mercado
RETIREMENT PLANNING AUG 26, 2009
Automatic enrollment quadruples over three-year period among retirement plans run by Vanguard

About 20% of the defined contribution plans administered by The Vanguard Group Inc. had adopted automatic enrollment by the end of last year, up from just 5% three years earlier, according to a recent study by Vanguard.

By Bloomberg
REGULATION AND LEGISLATION AUG 26, 2009
Nuveen, Merrill and Citi slapped with suit over auction rate losses

A 77-year-old retired securities attorney and his wife are taking Nuveen Investments Inc., Merrill Lynch &amp; Co. Inc., Citigroup and others to court over $2 million in losses they claim to have suffered from investing in auction rate securities.

By Darla Mercado
INDEPENDENT BROKER DEALERS AUG 25, 2009
QA3 Financial hit with $500K claim over Medical Capital notes; Securities America, others face suits

The first lawsuit over the sale of allegedly fraudulent notes issued by Medical Capital Holdings Inc. was filed last week, and more look likely to come.

By Dan Jamieson
MUTUAL FUNDS AUG 25, 2009
Money market funds may suffer when federal backstops expire, J. P. Morgan exec fears

Money market mutual funds would benefit from a federal program to guard against the risk of illiquidity in the markets, analysts yesterday at the first Money Fund Symposium in Providence, R.I.

By Sue Asci