Regulation And Legislation

Displaying 10537 results
FIXED INCOME SEP 03, 2013
Gundlach says Fed making mistake in way it's ending asset buying

The central bank has opted for a “seat of the pants” way of handling policy, according to the Doubeline executive.

By Matt Ackermann
REGULATION AND LEGISLATION SEP 01, 2013
Ban imposed for obstructing firm's CCO

By Michael Shagrin
REGULATION AND LEGISLATION SEP 01, 2013
Best execution a critical obligation

By MFXFeeder
REGULATION AND LEGISLATION AUG 30, 2013
CFP Board's new chief investigator adds enforcement muscle

By Mark Schoeff Jr.
REGULATION AND LEGISLATION AUG 29, 2013
SEC bans portfolio manager for misleading compliance officer

The charges are the agency's first under Rule 38a-1(c) of the Investment Company Act.

By Michael Shagrin
RETIREMENT PLANNING AUG 27, 2013
Festive fall on tap for Washington but action is another thing

Advisers watching for clues on the federal budget, debt ceiling, tax policy.

By Mark Schoeff Jr.
REGULATION AND LEGISLATION AUG 26, 2013
Stock exchanges should lose SRO status: SIFMA

Trade group calls for review of B-D and exchange regulatory structures.

By DJAMIESON
FINTECH AUG 25, 2013
Capturing conversations

By Mark Schoeff Jr.
ALTERNATIVES AUG 23, 2013
Finra warns on private-placement investments

Warning on eve of new regulations allowing more investors access.

By Trevor Hunnicutt
EQUITIES AUG 23, 2013
The Takeaway: Nasdaq reopens to wild applause

By Joshua Brown
REGULATION AND LEGISLATION AUG 21, 2013
Sifma pushing regulators to end poverty plea of brokers

Industry group sees trouble when brokers get out of paying back notes.

By DJAMIESON
REGULATION AND LEGISLATION AUG 20, 2013
Five candidates vying for one slot on Finra board

Small-firm seat on regulator's board is open; will be filled at annual meeting in August.

By DJAMIESON
REGULATION AND LEGISLATION AUG 16, 2013
Bruce Berkowitz rolling dice on bailout babies — again

Fairholme Fund boss now has 7% of fund's assets in Fannie Mae, Freddie Mac; joins suit, too

By AOSTERLAND
RIA NEWS AUG 12, 2013
Adviser gets sacked after ripping off her NFL linebacker client

What Jeff's reading today: Jail time for adviser who ripped off her NFL linebacker client, plus: the taper question, 98% chance of a market crash next year, the yen-dollar trade, New Yorkers dodge taxes, and (surprise!) Congress wastes your money.

By Jeff Benjamin
REGULATION AND LEGISLATION AUG 12, 2013
SEC 'not alone' in global regulatory world: White

Efforts with other agencies for investors, companies.

By Mark Schoeff Jr.
RIA NEWS AUG 11, 2013
SEC's Aguilar: Custody rules may prevent another Madoff

New guidelines won't be overly burdensome, commissioner says.

By Mark Schoeff Jr.
REGULATION AND LEGISLATION AUG 11, 2013
Finra sues ex-employee for sexual harassment

Examiner made "unwelcome romantic overtures' to colleague, harassed HR director, suit claims.

By Michael Shagrin
PRACTICE MANAGEMENT AUG 11, 2013
Suit alleges Ponzi scammed investors out of $300M

Money manager claimed 432% returns while S&P 500 sank.

By Michael Shagrin
EQUITIES AUG 09, 2013
The Takeaway: Are you in the secret wealth management cult?

By Joshua Brown
REGULATION AND LEGISLATION AUG 09, 2013
Keenan beats out two others for small-firm seat on Finra board

CEO of St. Bernard Financial tops president of Mutual Trust Co. of America, general counsel of Abel/Noser.

By DJAMIESON