Regulation And Legislation

Displaying 10550 results
FINTECH JAN 01, 2015
Cybersecurity needs to be a spending priority for advisers in 2015

<i>InvestmentNews</i> survey finds only one-third of advisers expect to invest in protecting online information next year.

By Liz Skinner
EMERGING MARKETS DEC 31, 2014
SEC penalizes 13 firms for improper sales of Puerto Rican bonds

The SEC cracks down on financial firms, including Schwab, J.P. Morgan Securities, Lebenthal, Oppenheimer, TD Ameritrade, UBS and Wedbush for selling risky debt beneath the minimum allotment of $100,000 for a single transaction.

By Mark Schoeff Jr.
PRACTICE MANAGEMENT DEC 30, 2014
Galvin expands investigation of Schorsch empire

Amid <a href=http://www.investmentnews.com/article/20141218/FREE/141219906/schorsch-accused-of-manipulating-arcp-books-suit target=&quot;_blank&quot;>allegations that Nicholas Schorsch ordered underlings to alter financial records</a>, the Massachusetts regulator expands probe to include American Realty Capital Properties.

By Bruce Kelly
REGULATION AND LEGISLATION DEC 29, 2014
Bernie Madoff's last surviving son Andrew dies at 48

Insisted he had nothing to do with his father's massive Ponzi scheme.

By Bloomberg
ALTERNATIVES DEC 29, 2014
Thompson's former nontraded REIT drops nearly 30%

Investors in a nontraded REIT launched by Tony Thompson, the one-time noted real estate sponsor, were told last week that the net asset value of the REIT had eroded by nearly 30%.

By Bruce Kelly
ALTERNATIVES DEC 24, 2014
Schorsch allegations will haunt nontraded REIT industry

Industry &quot;floored&quot; by allegation that REIT czar had hand in $23 million accounting error at American Realty Capital Properties.

By Bruce Kelly
RIA NEWS DEC 23, 2014
Majority of RIAs should move under state regulation: Study

Shifting oversight of more RIAs from the SEC to states would increase exam coverage at less cost than establishing third-party reviewers, according to a new report. <i>(See also: <a href="//www.investmentnews.com/article/20131030/FREE/131039989&quot;" target="&quot;_blank&quot;" rel="noopener noreferrer">After 'the switch' in 2012, state regulators pounced</a>)</i>

By Mark Schoeff Jr.
RETIREMENT PLANNING DEC 23, 2014
FSI to fight rollout of auto IRAs

As Illinois pushes ahead with its automatic retirement savings account program, the Financial Services Institute argues the savings plans pose competition to advisers and will work to discourage other states from following suit.

By Mark Schoeff Jr.
PRACTICE MANAGEMENT DEC 23, 2014
Ketchum: What this industry is missing when it comes to CARDS

Finra chief Richard Ketchum says industry groups like SIFMA are overlooking the investor protection benefit of Finra's controversial data-collection proposal.

By Mark Schoeff Jr.
PRACTICE MANAGEMENT DEC 23, 2014
Broker-dealers hold fate of new active ETFs

Despite potentially lower costs and better outcomes for investors, broker-dealers are taking a cautious approach to a product that could slash their revenue.

By Trevor Hunnicutt
ALTERNATIVES DEC 23, 2014
Money managers to redraw battle plans after SEC nixes batch of nontransparent ETFs

In a preliminary decision, the Securities and Exchange Commission has rejected applications for nontransparent ETFs from BlackRock, Inc. and Precidian Investments, determining that the proposals are not in the public interest.

By Trevor Hunnicutt
PRACTICE MANAGEMENT DEC 23, 2014
SEC investor advocate opposes third-party adviser exams

SEC investor advocate Rick Fleming sees adviser oversight as a top priority, but says the SEC itself should continue to conduct adviser exams.

By Mark Schoeff Jr.
RETIREMENT PLANNING DEC 22, 2014
Unraveling Minds

<b>Game Changers: Dealing with Dementia</b> Cognitive decline doesn't just rob the elderly of their mental capacity. Advisers and their firms often are left adrift, forced to make crucial decisions affecting the financial affairs of elderly clients.

By Mason Braswell
INDEPENDENT BROKER DEALERS DEC 22, 2014
WFG Investments facing $650,000 Finra 'global fine'

Comes on heels of another $200,000 penalty last year for missing a stock-fraud scheme

By Bruce Kelly
PRACTICE MANAGEMENT DEC 22, 2014
JPMorgan's fund choices for its clients said to be under regulatory review

The SEC is reviewing whether conflicts of interest led the firm to sell certain products to individual clients.

By Bloomberg
FINTECH DEC 21, 2014
Advisers in Northeast prep for blizzard, close offices

After learning lessons from Superstorm Sandy, firms are planning ahead with staff and clients, expecting days of potential power outages and working remotely.

By Liz Skinner
REGULATION AND LEGISLATION DEC 21, 2014
Big data becomes a sharp weapon for regulators

Regulators are using troves of digital information to monitor broker-dealers

By Mark Schoeff Jr.
ALTERNATIVES DEC 21, 2014
Schorsch accused of manipulating ARCP books: Suit

American Realty Capital Properties Inc.'s former chief accounting officer alleges the ex-chairman ordered numbers to be changed.

By Mason Braswell
ALTERNATIVES DEC 19, 2014
Massachusetts regulator Galvin investigating Schorsch B-D

Massachusetts regulator has launched an investigation into Realty Capital Securities, the wholesaling broker-dealer arm of Nicholas Schorsch's nontraded REIT empire. (<b><i>Also: <a href=&quot;http://www.investmentnews.com/article/20141105/FREE/141109957/schorsch-remains-confident-in-his-empire&quot; target=&quot;_blank&quot;>Schorsch remains confident in his empire</a>)</b></i>

By Bruce Kelly
ALTERNATIVES DEC 18, 2014
ARCP gets time to revise earnings, delays dividend

Big real estate company, until recently led by Nicholas Schorsch, hires Korn Ferry, launches search for new CEO, chairman.

By Bloomberg