Regulation And Legislation

Displaying 10571 results
RETIREMENT PLANNING JAN 04, 2017
Prudential, Captrust win 401(k) fiduciary breach lawsuit

The judge dismissed claims of fiduciary breach under ERISA, largely falling in line with judgments from similar cases.

By Greg Iacurci
LIFE INSURANCE AND ANNUITIES JAN 04, 2017
Office of Management and Budget reviewing proposed exemption under DOL fiduciary rule for some indexed annuity distributors

Some indexed annuity distributors are poised to get a shot in the arm from the proposal, which would make it easier for independent agents to sell the annuities under the rule.

By Greg Iacurci
REGULATION AND LEGISLATION JAN 04, 2017
Jay Clayton, SEC chairman nominee, likely to shift focus away from rulemaking, enforcement

Jay Clayton, who specializes in securities transactions at law firm Sullivan & Cromwell, would likely serve as a "capital-raising facilitator dealmaker," according to a former senior enforcement counsel in the SEC Miami office.

By Mark Schoeff Jr.
Finra slaps 12 firms with $14.4 million fine for cybersecurity issues
REGULATION AND LEGISLATION JAN 04, 2017
Finra slaps 12 firms with $14.4 million fine for cybersecurity issues

Companies affiliated with Wells Fargo & Co. received the largest of the penalties assessed by the regulator, which has been pursuing a broader crackdown for cybersecurity failures.

By Greg Iacurci
Finra slaps Allstate Financial with $1 million fine for array of fumbles
INDEPENDENT BROKER DEALERS JAN 04, 2017
Finra slaps Allstate Financial with $1 million fine for array of fumbles

The regulator cited a broad breakdown with the firm's failures to supervise client and adviser information.

By Bruce Kelly
Brace for thousands of new DOL fiduciary-friendly mutual fund share classes
MUTUAL FUNDS JAN 03, 2017
Brace for thousands of new DOL fiduciary-friendly mutual fund share classes

New T shares would feature a uniform 2.5% front-end load and a 0.25% trailing 12-b(1) fee.

By John Waggoner
RETIREMENT PLANNING JAN 03, 2017
Outlook for 2017 retirement plan litigation

Copycat lawsuits targeting 403(b) plans, as well as litigation probing a fiduciary's duty to monitor investments, the DOL fiduciary rule, church retirement plans and cybersecurity issues are likely to crop up this year.

By Marcia S. Wagner
Debra Wong Yang top contender to head SEC under Trump
REGULATION AND LEGISLATION DEC 29, 2016
Debra Wong Yang top contender to head SEC under Trump

Ms. Yang would be the second consecutive former federal prosecutor to lead the regulator, and, like current chairwoman Mary Jo White, would likely focus more on enforcement than policy making.

By Bloomberg
PRACTICE MANAGEMENT DEC 29, 2016
More than 1/4 of financial advisers plan to exit industry or merge firms: survey

Financial advisers are feeling heightened pressure from regulators and clients, Natixis finds.

By Liz Skinner
FINTECH DEC 27, 2016
Orion launches fee analyzer for DOL fiduciary rule

Benchmarking tool will help advisers show reasonable compensation, firm says.

By Liz Skinner
REGULATION AND LEGISLATION DEC 22, 2016
Bills to expand accredited-investor pool, reform retirement savings, protect seniors poised to return in 2017

Bills to expand the pool of investors eligible to buy unregistered securities, make it easier to put annuities in 401(k)s and stop a Treasury Department rule changing estate valuations are likely to be revived.

By Mark Schoeff Jr.
WIREHOUSES DEC 21, 2016
Wells Fargo Advisors to pony up $35.5M in race discrimination, class action settlement

The group of six brokers are joined by 325 confirmed African American brokers or trainees at the firm. There could be another potential 200 class members.

By Bruce Kelly
REGULATION AND LEGISLATION DEC 21, 2016
IHT buying $700 million advisory firm as businesses seek scale

John Napolitano's U.S. Wealth Management to be acquired by IHT over five years

By Liz Skinner
REGULATION AND LEGISLATION DEC 21, 2016
Finra arbitration panel awards registered representative $417,000 for wrongful termination, defamation

Arbitrators held Southwest Securities Inc. liable for compensatory damages and recommended expungement of the termination explanation on the rep's Form U-5.

By Mark Schoeff Jr.
RETIREMENT PLANNING DEC 21, 2016
Hotel chain targeted in 401(k) fee lawsuit alleging $29 million in damages

Plaintiffs claim excessive fund fees cost participants roughly $20 million, while high record-keeping fees cost them an additional $9 million.

By Greg Iacurci
Platinum Fund co-founder Mark Nordlicht indicted in $1.7 billion fraud case
REGULATION AND LEGISLATION DEC 21, 2016
Platinum Fund co-founder Mark Nordlicht indicted in $1.7 billion fraud case

Federal prosecutors say the hedge fund's industry-beating returns were based on lies.

Two traders accused of $26M stock manipulation
PRACTICE MANAGEMENT DEC 21, 2016
Two traders accused of $26M stock manipulation

The pair are accused of artificially moving prices of lightly traded stocks, via 23,000 trades over a two-year period. <b><i>(More: <a href="//www.investmentnews.com/article/20161011/FREE/161019981/sec-sets-record-in-enforcement-actions-against-investment-advisers" target="&quot;_blank&quot;" rel="noopener noreferrer"> SEC sets record in enforcement actions against investment advisers </a>)</i></b>

By Bloomberg
Court ruling gives advisers ammo to fight the SEC over administrative law judges
RIA NEWS DEC 20, 2016
Court ruling gives advisers ammo to fight the SEC over administrative law judges

Court of Appeals rules judges are unconstitutional because they were hired rather than appointed. <i><b>(More: <a href="//www.investmentnews.com/article/20160710/FREE/160709954/the-secs-case-against-dawn-j-bennett" target="&quot;_blank&quot;" rel="noopener noreferrer">The SEC's case against Dawn J. Bennett </a>)</i></b>

By Jeff Benjamin
FINTECH DEC 20, 2016
Ameriprise adviser's data breach offers cybersecurity lesson

Because employee carelessness is a leading factor in internet troubles, advisory firms should offer regular training on best practices, experts say.

By Liz Skinner
RETIREMENT PLANNING DEC 19, 2016
Appeals court sends 401(k) fee case Tibble vs. Edison back to District Court to be reheard

The opinion vacated the Los Angeles District Court's ruling that the case could not proceed because of a statute of limitations on three of six funds in question.

By Hazel Bradford