News

Displaying 43056 results
REGULATION AND LEGISLATION OCT 23, 2016
Sen. Elizabeth Warren's bogus charges against SEC's Mary Jo White

Warren's charges could be motivated by political calculation rather than concern about investor protection or information.

By Ellie Zhu
RIAS OCT 21, 2016
FOLIOfn acquires First Affirmative to expand its SRI footprint

The technology company seeks to expand its responsible investing footprint with the RIA.

By Grete Suarez
INDUSTRY NEWS OCT 21, 2016
Why investors may be overlooking the benefits of impact investing

Investing in local communities allows investors to foment meaningful change, providing not only reliable economic returns, but personal ones as well.

By Catherine Banat
INDUSTRY NEWS OCT 21, 2016
5 top Wall Street investors weigh in on the best ways to invest $10,000 now

With the holidays and perhaps a raise or bonus on the horizon, it's a good time to make that money work for you and your retirement.

By Bloomberg
REGULATION AND LEGISLATION OCT 21, 2016
Adviser groups boost political spending to gain Capitol Hill influence

At least four trade associations reached their highest levels of donations in this election cycle, the FEC reports.

By Mark Schoeff Jr.
RETIREMENT PLANNING OCT 21, 2016
DOL fiduciary rule won't help some 403(b) retirement plans

The plans in public school districts — often a "laissez-faire" type of arrangement exposing teachers to high-fee products — won't be helped by the new regulation.

By Greg Iacurci
REGULATION AND LEGISLATION OCT 21, 2016
Patriarch Partners CEO Lynn Tilton's bid to block asset sale rejected as she faces SEC fraud trial

By Bloomberg
FINTECH OCT 21, 2016
How fintech aims to make DOL fiduciary rule manageable

Wealth of tools popping up to help with compliance, but will require proper adviser due diligence.

By Liz Skinner
RIAS OCT 21, 2016
SEC bars adviser for failing to disclose conflicts of interests in commodities fund

The regulator also ordered John Leo Valentine to pay $140,000 in civil money penalties

By Christine Idzelis
ALTERNATIVES OCT 21, 2016
Investor exodus forcing hedge fund managers to take big pay cuts

Plus: The dollar spikes as the ECB stays loose, big companies supporting small companies, and health insurance companies turn a blind eye to climate change

By Jeff Benjamin
PRACTICE MANAGEMENT OCT 21, 2016
Knut Rostad: Trump adviser Anthony Scaramucci should apologize for DOL fiduciary rule remarks

'Dred Scott' comments by the SkyBridge Capital executive 'are so at odds with the DOL rule, law, logic and basic human decency, they demand a rebuke.'

By Knut Rostad
SEC approves fund liquidity rule but carves out exemptions for ETFs
MUTUAL FUNDS OCT 21, 2016
SEC approves fund liquidity rule but carves out exemptions for ETFs

By Bloomberg
EQUITIES OCT 20, 2016
Despite the temptation, an all-stock portfolio is crazy

Plus: Investors think the Fed will hike in December, here come the boring post-DOL portfolios, and now is a good time to ask for a raise

By Jeff Benjamin
MUTUAL FUNDS OCT 20, 2016
Financial advisers flock to Vanguard, bringing more than $1 trillion on board

Passive funds, ETFs attract fee-based advisers to fund giant. <b><i>(Related read: <a href="//www.investmentnews.com/gallery/20160906/FREE/906009999/PH/9-facts-that-make-vanguard-the-king-of-mutual-funds&quot;" target="&#8221;blank&quot;" rel="noopener noreferrer">9 facts that make Vanguard the king of mutual funds</a>)</b></i>

By Bloomberg
PRACTICE MANAGEMENT OCT 20, 2016
Finra shouldn't hype 'broken' BrokerCheck to investors: PIABA

System doesn't include reasons for advisers' employment termination and other details public needs before deciding who to hire, a new report found.

By Liz Skinner
INDUSTRY NEWS OCT 20, 2016
InvestmentNews readers weigh in on the final presidential debate

Twitter followers respond to the candidates' positions in the final presidential debate before the Nov. 8 election.

By Bloomberg
RETIREMENT PLANNING OCT 20, 2016
DOL fiduciary rule promotes a 'business form of skydiving'

Broker-dealers can try shielding themselves from risk as much as possible, but lawsuits are inevitable and could prove difficult to defend, attorneys said.

By Greg Iacurci
PRACTICE MANAGEMENT OCT 20, 2016
Finra proposes rule to prevent elder financial abuse

Measure requires brokers to establish trusted contacts on accounts and allows them to stop distributions in questionable circumstances.

By Mark Schoeff Jr.
REGULATION AND LEGISLATION OCT 20, 2016
The DOL fiduciary rule: Deal catalyst or deal killer?

Industry conversation is now turning to the regulation's impact on M&amp;A activity.

By Dan Seivert
Morgan Stanley sales contests among advisers didn't help clients
INDUSTRY NEWS OCT 20, 2016
Morgan Stanley sales contests among advisers didn't help clients

Bonuses were tied to getting clients to open loan accounts, which went against the firm's internal prohibition on such initiatives. <b><i>(Related read: <a href=&quot;http://www.investmentnews.com/article/20161003/FREE/161009986/former-morgan-stanley-broker-barred-for-unauthorized-borrowing-from&quot; target=&quot;_blank&quot;>Former Morgan Stanley broker barred for unauthorized borrowing from clients</a>)</b></i>

By Bruce Kelly