Regulation And Legislation

Displaying 10571 results
Dodd-Frank architect Barney Frank blasts decision to overturn MetLife SIFI status
REGULATION AND LEGISLATION JUN 27, 2016
Dodd-Frank architect Barney Frank blasts decision to overturn MetLife SIFI status

The former House Financial Services committee chair criticized the ruling and said it could ultimately lead other institutions to try to overturn their SIFI status.

By Greg Iacurci
With anti-DOL fiduciary rule lawsuits, industry organizations' actions speak louder than words
INDEPENDENT BROKER DEALERS JUN 27, 2016
With anti-DOL fiduciary rule lawsuits, industry organizations' actions speak louder than words

How can those suing to quash the DOL rule, like SIFMA CEO Ken Bentsen Jr., claim to also support its premise?

By Mark Schoeff Jr.
SEC plans to propose fiduciary rule next April
PRACTICE MANAGEMENT JUN 27, 2016
SEC plans to propose fiduciary rule next April

Another item of interest to financial advisers, third-party exams, is also on the docket for next spring.

By Mark Schoeff Jr.
EQUITIES JUN 24, 2016
SEC going after advisers for reverse churning

<i>Breakfast with Benjamin</i> The commission is specifically looking at why some clients are in advisory accounts versus brokerage accounts.

By Jeff Benjamin
INDEPENDENT BROKER DEALERS JUN 23, 2016
Finra fines Lincoln Financial broker-dealer $650,000 for failing to protect client data

Records of thousands of clients were exposed to foreign hackers, regulator claims.

By Bruce Kelly
DOL fiduciary rule places risk management software center stage
REGULATION AND LEGISLATION JUN 23, 2016
DOL fiduciary rule places risk management software center stage

Tech vendors are getting the spotlight thanks to the new regulation and market volatility.

By Alessandra Malito
Litigation schedule set for suits against DOL fiduciary rule
PRACTICE MANAGEMENT JUN 23, 2016
Litigation schedule set for suits against DOL fiduciary rule

The plaintiffs and Labor Department are seeking summary judgment for the cases in a Dallas federal court, with a decision possible in October.

By Mark Schoeff Jr.
Merrill Lynch to pay $415M to settle SEC charges it misused customer cash
REGULATION AND LEGISLATION JUN 23, 2016
Merrill Lynch to pay $415M to settle SEC charges it misused customer cash

In responses to charges it misused customer cash, the wirehouse agreed to the payment and to admit wrongdoing in violations of the customer protection rule.

By Christine Idzelis
Jackson National's new variable annuity hints at annuities' future post-DOL fiduciary rule
RETIREMENT PLANNING JUN 23, 2016
Jackson National's new variable annuity hints at annuities' future post-DOL fiduciary rule

The firm is developing its first fee-based variable annuity, which many experts say is the future of the product line in the qualified market.

By Greg Iacurci
MUTUAL FUNDS JUN 23, 2016
Bank of America Merrill Lynch to trim mutual fund offerings

The firm hopes to make it easier for clients and advisers to understand sales charge reductions and waivers.

By John Waggoner
RETIREMENT PLANNING JUN 23, 2016
MetLife is second major insurer to exit the brokerage business, in the sale of adviser unit to MassMutual

MetLife is the second major insurer to exit the brokerage business, in the sale of its adviser unit to MassMutual. Mergers may be on the rise due to the Labor Department's proposed fiduciary rule.

By Christine Idzelis
John Oliver and Congress square off over DOL fiduciary rule
REGULATION AND LEGISLATION JUN 22, 2016
John Oliver and Congress square off over DOL fiduciary rule

Rule advocates say it would save investors $17 billion a year. House Republicans call it 'Obamacare for financial planning.'

By Bloomberg
TIAA's Roger Ferguson breaks with rivals to support Obama fiduciary rule
PRACTICE MANAGEMENT JUN 22, 2016
TIAA's Roger Ferguson breaks with rivals to support Obama fiduciary rule

Former Fed vice chairman says he doesn't support litigation over the controversial regulation.

By Bloomberg
Former LPL broker suspended for supervisory failure, Finra says
PRACTICE MANAGEMENT JUN 22, 2016
Former LPL broker suspended for supervisory failure, Finra says

Peter Neuberg agreed to a six-month suspension and $15,000 fine.

By Christine Idzelis
RETIREMENT PLANNING JUN 22, 2016
John Oliver's criticism helps fiduciary duty go prime time

Recent 'Last Week Tonight' segment is just one example of the growing awareness of this issue.

By Mark Schoeff Jr.
GL Capital Partners' former CEO Daniel Thibeault pleads guilty to $15 million fraud tied to loan fund
REGULATION AND LEGISLATION JUN 22, 2016
GL Capital Partners' former CEO Daniel Thibeault pleads guilty to $15 million fraud tied to loan fund

Mr. Thibeault solicited investors to a fund that reported fake consumer loans.

By Christine Idzelis
Indexed annuity distributors weigh launching B-Ds due to DOL fiduciary rule
RETIREMENT PLANNING JUN 21, 2016
Indexed annuity distributors weigh launching B-Ds due to DOL fiduciary rule

The move would allow insurers to sidestep additional risk in distributing through independent agents.

By Greg Iacurci
Changing client records is a recurring problem among breakaway brokers: Finra
REGULATION AND LEGISLATION JUN 21, 2016
Changing client records is a recurring problem among breakaway brokers: Finra

Two Finra cases this month alone underscore the efforts some registered reps take to sabotage their company when leaving.

By Alessandra Malito
INDEPENDENT BROKER DEALERS JUN 21, 2016
Royal Alliance lawyers capitalize on Finra's broken BrokerCheck

Plus: Soros fights Brexit with scare tactics, what the Queen thinks about the Brexit vote, the smart-beta evolution, and alternative retirement lifestyles

By Jeff Benjamin
DOL fiduciary rule will lead to increased spending on technology: survey
PRACTICE MANAGEMENT JUN 21, 2016
DOL fiduciary rule will lead to increased spending on technology: survey

More companies will invest in technology to help them comply with new regulation, according to a SS&amp;C Technologies Holdings survey.

By Bloomberg