Regulation And Legislation

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REGULATION AND LEGISLATION OCT 24, 2013
Ohio alleges crowdfunding site misled investors

State claims the site misled investors about earnings potential, contacted them in violation of securities laws.

By Mark Schoeff Jr.
REGULATION AND LEGISLATION OCT 23, 2013
Crowd-funding, private-placement ads get special focus in the Bay State

Chief securities cop Galvin sets up new unit to monitor newfangled funding methods.

By Mark Schoeff Jr.
REGULATION AND LEGISLATION OCT 23, 2013
Advocates push SEC to propose crowd funding rules

Proponents want rule, critics worry about investor protection.

By Mark Schoeff Jr.
Crowd funding could come back to bite broker-dealers
EQUITIES OCT 23, 2013
Crowd funding could come back to bite broker-dealers

Risks include lack of information, new reporting standards, Abshure says

By Bruce Kelly
REGULATION AND LEGISLATION OCT 22, 2013
The secrets to a successful succession strategy

Approximately 67% of firms either don't have succession plans for their businesses or have plans that are not ready to be implemented. Is your business ready?

By David Canter
REGULATION AND LEGISLATION OCT 22, 2013
SEC to get serious on small violations

SEC chairman Mary Jo White says the agency will review even small trip-ups, but some observers wonder whether it will miss the forest for the trees.

By Mark Schoeff Jr.
REGULATION AND LEGISLATION OCT 22, 2013
SEC advisory-panel proposal calls for tough fiduciary standard

An SEC advisory panel has floated a proposal that would raise investment advice standards for brokers, putting them on par with investment advisers. The proposal is sure to raise some hackles.

By Mark Schoeff Jr.
REGULATION AND LEGISLATION OCT 22, 2013
SEC to shift enforcement focus to individuals, White says

“I want to be sure we are looking first at the individual conduct and working out to the entity, rather than starting with the entity as a whole and working in,” SEC Chairman Mary Jo White said.

By Matt Ackermann
REGULATION AND LEGISLATION OCT 22, 2013
Wall Street banks facing drop in trading look to Fed for relief

Wall Street banks, facing a drop in third-quarter trading revenue, are counting on Wednesday's Federal Reserve announcement to spark a surge in volume.

By Matt Ackermann
REGULATION AND LEGISLATION OCT 20, 2013
Finra urges brokers to adopt a 'best interests' standard

Finra moving inexorably in the direction of emphasizing a fiduciarylike standard.'

By Mark Schoeff Jr.
REGULATION AND LEGISLATION OCT 20, 2013
New NASAA chief: Time to beef up the SEC

By Mark Schoeff Jr.
REGULATION AND LEGISLATION OCT 20, 2013
SEC chief outlines plans for strong enforcement program

By MFXFeeder
REGULATION AND LEGISLATION OCT 20, 2013
Galvin talks to Chuck about allowing class actions

Massachusetts' top regulator William Galvin has asked Charles Schwab Corp. to be a 'good corporate citizen' by allowing clients to file class actions.

By DJAMIESON
REGULATION AND LEGISLATION OCT 18, 2013
Medium to small advisers suffer the same compliance lapses

After switch to state regulators, study finds similar deficiencies.

By Mark Schoeff Jr.
REGULATION AND LEGISLATION OCT 17, 2013
Bernanke can't be forced to testify in AIG suit

Federal Reserve Chairman Ben S. Bernanke can't be forced to testify in a lawsuit against the U.S. brought by Maurice “Hank” Greenberg over the government's bailout of American International Group Inc., a federal appeals court ruled.

By Matt Ackermann
REGULATION AND LEGISLATION OCT 16, 2013
Ex-broker: I forced out regional Finra director

An ex-broker claims his letter to Richard Ketchum led to the resignation weeks later of Finra's Florida regional director. Dan Jamieson reports.

By DJAMIESON
REGULATION AND LEGISLATION OCT 15, 2013
B-Ds need to up their conflicts of interest prevention game, Finra says

Regulator's report identifies dozens of areas for potential pitfalls

By Trevor Hunnicutt
REGULATION AND LEGISLATION OCT 15, 2013
State regulators question RIAs' use of mandatory arbitration

'How can that be in the best interests of the client?' one asks.

By Mark Schoeff Jr.
REGULATION AND LEGISLATION OCT 15, 2013
White says SEC is moving on fiduciary but other rules to come first

SEC chief Mary Jo White says the agency is working on a rule to raise investment advice standards for brokers, but other rules, like crowdfunding, will come first. What gives?

By Mark Schoeff Jr.
REGULATION AND LEGISLATION OCT 15, 2013
Finra charges B-D chief with using investor funds for home remodeling

Finra claims the head of a B-D that packages and distributes illiquid equipment-leasing funds misused investor money to pay for personal expenses including remodeling her house.

By Bruce Kelly