Regulation And Legislation

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REGULATION AND LEGISLATION JUL 13, 2015
What a Jeb Bush presidency would mean for advisers

Financial planners are mixed on the presidential contender, citing his fiscal and social conservatism.

By Mark Schoeff Jr.
Real estate crowdfunding trend presents new challenges, opportunities for financial advisers
RIA NEWS JUL 12, 2015
Real estate crowdfunding trend presents new challenges, opportunities for financial advisers

The proliferation of digital platforms puts added emphasis on due diligence.

By Jeff Benjamin
Three reform initiatives that Finra should embrace
PRACTICE MANAGEMENT JUL 12, 2015
Three reform initiatives that Finra should embrace

Accountability, exams and disclosures on the agenda of candidate for SRO's midsize-firm board seat.

By Brian Kovack
Support grows for strengthening variable annuity disclosures
LIFE INSURANCE AND ANNUITIES JUL 10, 2015
Support grows for strengthening variable annuity disclosures

A so-called summary prospectus would provide information about the risks, costs and benefits of the complicated products in a streamlined manner.

By Mark Schoeff Jr.
ALTERNATIVES JUL 09, 2015
Citi to pay $180 million for hedge fund sales linked to Smith Barney

Citigroup has agreed to pay $180 million to settle charges tied to two hedge funds the SEC said were improperly marketed and sold by private bankers and Smith Barney brokers.

By Mason Braswell
Finra board candidate claims examiners are out of touch
PRACTICE MANAGEMENT JUL 08, 2015
Finra board candidate claims examiners are out of touch

Finra examiners should adhere to a code of conduct when reviewing member firms, Stephen Kohn, a candidate for the SRO's small-firm board seat, asserts. <b><i>(Don't miss: <a href="//www.investmentnews.com/article/20150707/BLOG09/150709942/three-reform-initiatives-that-finra-should-embrace&quot;" target="&quot;_blank&quot;" rel="noopener noreferrer">How to make Finra work: Kovack</a>)</i></b>

By Mark Schoeff Jr.
RETIREMENT PLANNING JUL 08, 2015
Wells Fargo faces major test of broker liability for selling F-Squared

A 68-year-old widower claims wirehouse did insufficient due diligence on the troubled money manager.

By Trevor Hunnicutt
How to clarify the murky regulations governing IRA rollovers
RETIREMENT PLANNING JUL 07, 2015
How to clarify the murky regulations governing IRA rollovers

DOL should craft an exemption for when a fiduciary retirement plan adviser is called on to assist with a rollover decision

By Blaine F. Aikin
PRACTICE MANAGEMENT JUL 07, 2015
Plucky candidates seek Finra board seats

Three contenders had to work way onto ballot, want reform in exams and arbitration

By Mark Schoeff Jr.
Banks are cutting broker-dealer units from their 'living wills'
EQUITIES JUL 07, 2015
Banks are cutting broker-dealer units from their 'living wills'

<i>Breakfast with Benjamin</i>: The nation's biggest banks, like JPMorgan Chase, are lumping their broker-dealer units in with other 'non-essential' operations.

By Jeff Benjamin
Vanguard's new ambassador to advisers: We've earned your trust
ETFS JUL 07, 2015
Vanguard's new ambassador to advisers: We've earned your trust

Thomas M. Rampulla's return to the U.S. comes after the firm recast itself as a patron of an industry that once saw it as a threat.

By Trevor Hunnicutt
REGULATION AND LEGISLATION JUL 06, 2015
Judge denies SEC's motion to dismiss case over in-house panels

U.S. District Judge Richard Berman ruled Monday that a legal challenge to the SEC's handling of enforcement cases through administrative proceedings will be allowed to proceed

By Hazel Bradford
SEC appointment of in-house judges 'likely unconstitutional'
REGULATION AND LEGISLATION JUL 06, 2015
SEC appointment of in-house judges 'likely unconstitutional'

U.S. district judge says regulator many not have authority to divert cases from regular courts.

By Bloomberg
Ramifications of Supreme Court decision on 401(k) fee lawsuit run deep
PRACTICE MANAGEMENT JUL 06, 2015
Ramifications of Supreme Court decision on 401(k) fee lawsuit run deep

The court underscored the critical importance that persons entrusted with the assets of others cannot simply make the initial investment decision and walk away.

By Blaine F. Aikin
Ketchum tells lawmakers CARDS is on hold, not dead
REGULATION AND LEGISLATION JUL 06, 2015
Ketchum tells lawmakers CARDS is on hold, not dead

Finra chief Richard Ketchum says the regulator has put its CARDS proposal on hold but hasn't given up on the plan despite heavy pushback from critics.

By Mark Schoeff Jr.
Bond math is about to inflict some real pain on fixed-income investors
PRACTICE MANAGEMENT JUL 01, 2015
Bond math is about to inflict some real pain on fixed-income investors

<i>Breakfast with Benjamin</i>: Fixed-income investors are starting to feel the painful realities of bond math.

By Jeff Benjamin
Insurance industry wants DOL to telegraph changes to fiduciary
RETIREMENT PLANNING JUL 01, 2015
Insurance industry wants DOL to telegraph changes to fiduciary

Proposal would require brokers working with IRAs and other retirement accounts to act in their clients' best interests, increasing the number of financial advisers who are deemed fiduciaries.

By Mark Schoeff Jr.
Perez calls out variable annuities in argument for DOL fiduciary rule
LIFE INSURANCE AND ANNUITIES JUL 01, 2015
Perez calls out variable annuities in argument for DOL fiduciary rule

Using an anecdote critical of VAs, Thomas Perez says most people are better served by simple investments.

By Mark Schoeff Jr.
SEC exams target advisers' retirement-saving guidance
RETIREMENT PLANNING JUN 30, 2015
SEC exams target advisers' retirement-saving guidance

Exams add scrutiny to an industry debating proposals that brokers act in client's best interests.

By Trevor Hunnicutt
PRACTICE MANAGEMENT JUN 29, 2015
SEC approves rule requiring BrokerCheck links

SEC will require brokerages to include a 'readily apparent reference and hyperlink' to the database on home pages and broker profiles.

By Mark Schoeff Jr.