Practice Management

Displaying 9300 results
Finra wants to up annual gift limit to $175
YOUR PRACTICE PRACTICE MANAGEMENT AUG 03, 2016
Finra wants to up annual gift limit to $175

Regulator seeking common-sense changes to gift and non-cash comp rules for members.

By Liz Skinner
YOUR PRACTICE RIAS AUG 03, 2016
Assets in robo-advice channel surge, as more RIAs prepare to jump in

Firms embracing automated advice are positioning themselves to capture new client segments. By 2018, nearly one-third of registered investment advisers will have a robo-offering.

By IN Research and Ellie Zhu
Trouble looms for small RIAs in next bear market
YOUR PRACTICE RIAS AUG 03, 2016
Trouble looms for small RIAs in next bear market

Firms reluctant to sell now may struggle later to find a merger partner to survive.

By Christine Idzelis
What an adviser should do when a client names them as a beneficiary in their will
YOUR PRACTICE PRACTICE MANAGEMENT AUG 03, 2016
What an adviser should do when a client names them as a beneficiary in their will

Clients place their trust in us to act in their best interests, which means we should always do the right thing.

By Dan Candura
RIA moving $300M in client assets to Raymond James
YOUR PRACTICE BROKER DEALERS AUG 02, 2016
RIA moving $300M in client assets to Raymond James

By Bloomberg
YOUR PRACTICE EQUITIES AUG 02, 2016
When it comes to asset management, look for experience

Plus: Breaking the active management habit, the active-passive research conundrum, and recalculating retirement savings calculators

By Jeff Benjamin
Robo-advisers increasingly represent a useful ally for human advisers
YOUR PRACTICE FINTECH AUG 02, 2016
Robo-advisers increasingly represent a useful ally for human advisers

Robos can enlarge the advisory business as a whole, expanding the pools of both providers and users of advice.

By Thomas Hoops
Dawn J. Bennett barred from industry; ordered to pay $4 million in fines, disgorgement
YOUR PRACTICE PRACTICE MANAGEMENT AUG 02, 2016
Dawn J. Bennett barred from industry; ordered to pay $4 million in fines, disgorgement

SEC ruling includes a civil penalty of $600,000 for Ms. Bennett and $2.9 million for Bennett Group.

By Jeff Benjamin
YOUR PRACTICE PRACTICE MANAGEMENT AUG 01, 2016
Real financial advisers should always have an opinion

An adviser's job isn't to offer a random selection of options; it's to assess where clients say they want to go and where they are in that journey.

By crichards
Key fiduciary decisions loom for retirement plan advisers using money market funds
YOUR PRACTICE RETIREMENT PLANNING AUG 01, 2016
Key fiduciary decisions loom for retirement plan advisers using money market funds

Once-plain-vanilla funds due for a serious makeover, meaning now is the time to carefully assess cash options.

By Blaine F. Aikin
YOUR PRACTICE FINTECH AUG 01, 2016
How financial advisory firms can practice emergency preparedness

Advisers should test their emergency plans periodically to make sure they are in compliance with Securities and Exchange Commission rules.

By Sheryl Rowling
With Indiana Gov. Pence on ticket, advisers need to be careful with donations
YOUR PRACTICE PRACTICE MANAGEMENT JUL 29, 2016
With Indiana Gov. Pence on ticket, advisers need to be careful with donations

Under the SEC, pay-to-play rules kick in for RIAs who contribute to a candidate for office who could influence the selection of an adviser for state accounts.

By Mark Schoeff Jr.
YOUR PRACTICE PRACTICE MANAGEMENT JUL 28, 2016
Philanthropic advisers and firms named as finalists for Community Leadership Awards

Invest in Others and <i>InvestmentNews</i> recognize charitable works of advisers and corporate programs for employees.

By Liz Skinner
Raymond James nabs $7 billion retirement group from Wells Fargo
YOUR PRACTICE BROKER DEALERS JUL 28, 2016
Raymond James nabs $7 billion retirement group from Wells Fargo

The national advisory firm works with institutional clients such as defined-contribution and traditional pension plans.

By Greg Iacurci
YOUR PRACTICE PRACTICE MANAGEMENT JUL 27, 2016
Adviser relief follows judge's injunction of overtime pay rule

Labor Department's regulation will not take effect Dec. 1.

By Grete Suarez
YOUR PRACTICE PRACTICE MANAGEMENT JUL 26, 2016
Adviser's Consultant: Outsourcing many compliance duties best move for CCOs

Unless firm can spend $200,000-plus a year, don't keep most compliance functions in-house.

By Liz Skinner
YOUR PRACTICE OPINION JUL 26, 2016
Why women tend to outperform men when investing

By Kara Murphy
YOUR PRACTICE PRACTICE MANAGEMENT JUL 26, 2016
Advisers asking DOL for clarification on fiduciary rule's impact on compensation

Labor Department's Tim Hauser discusses fiduciary rule's impact on compensation.

By Mark Schoeff Jr.
5 ways financial advisers can steer clients toward a successful retirement
YOUR PRACTICE RETIREMENT PLANNING JUL 26, 2016
5 ways financial advisers can steer clients toward a successful retirement

Knowing common retirement blind spots can make a big difference in mapping out your clients' futures.

By Bloomberg
YOUR PRACTICE PRACTICE MANAGEMENT JUL 26, 2016
Raymond James agrees to $5.95 million settlement with Vermont over alleged compliance failures

Vermont's regulator found supervisory failures under an EB-5 program helping to develop the state's ski resort

By Christine Idzelis