Regulation And Legislation

Displaying 10537 results
MUTUAL FUNDS JUN 04, 2013
Money funds take the lead in reforms

Six big mutual fund companies last week agreed to disclose the daily NAV of their money funds, an unusual show of unity among rivals aimed at heading off the threat of stricter regulation.

By Jason Kephart
MUTUAL FUNDS MAY 31, 2013
SEC's White plays money market reform close to the vest

In front of mutual fund group, chief regulator says little about revamp.

By Mark Schoeff Jr.
Power grab? Consumer agency may dig into retirement savings biz
RETIREMENT PLANNING MAY 29, 2013
Power grab? Consumer agency may dig into retirement savings biz

Consumer Financial Protection Bureau worried about investment scams.

By Gregory Crawford
REGULATION AND LEGISLATION MAY 29, 2013
Morgan Stanley banker withheld Facebook info, Mass. claims

Company agrees to pay $5M to settle the charge; 'clear violation'

By DJAMIESON
Crowd pushing Walter on crowdfunding
REGULATION AND LEGISLATION MAY 29, 2013
Crowd pushing Walter on crowdfunding

Both Dems and Republicans urging new SEC boss to act

By Mark Schoeff Jr.
ALTERNATIVES MAY 28, 2013
Finra plan could upend illiquid investment reporting

SRO offers options on valuing vehicles like nontraded REITS on account statements.

By Bruce Kelly
REGULATION AND LEGISLATION MAY 24, 2013
SEC whistle-blower says she was frozen out by new enforcement chief

Furey case raises questions about how agency handles internal affairs

By Bloomberg
REGULATION AND LEGISLATION MAY 24, 2013
SEC focusing on B-D registration issues for private-fund managers

By Henry Nelson Massey, Greg H. Kahn and Samuel A. Jennings
FINTECH MAY 23, 2013
SEC: Social media OK for delivering info to investors

Commission says Reg FD applies to social networks the same as it does to web sites

By Mark Schoeff Jr.
ETFS MAY 21, 2013
Exchange-traded notes could be next in SEC's push to simplify

The regulator may seek greater risk, valuation disclosures from banks.

By Gregory Crawford
INDEPENDENT BROKER DEALERS MAY 21, 2013
Ketchum suggests brokers falling short in discussing risk

Finra chief says fixed income, structured products demand straight talk to clients.

By Mark Schoeff Jr.
PRACTICE MANAGEMENT MAY 20, 2013
SIFMA's endorsement of broker-comp rule may help wirehouses

Disclosure could eventually end era of big bonuses, saving firms a bundle

By Mark Schoeff Jr.
REGULATION AND LEGISLATION MAY 19, 2013
No. 1 priority is more exams, White says

By Mark Schoeff Jr.
REGULATION AND LEGISLATION MAY 19, 2013
House bill may slow DOL fiduciary push

By Mark Schoeff Jr.
REGULATION AND LEGISLATION MAY 17, 2013
Politics of adviser oversight starting to change

Last year, investment advisers were playing defense on Capitol Hill on the issue of regulation. This year, they're on offense, and that gives the debate a different flavor.

By Mark Schoeff Jr.
PRACTICE MANAGEMENT MAY 17, 2013
After the switch: A new state of affairs for advisers

By MFXFeeder
REGULATION AND LEGISLATION MAY 17, 2013
Midsize advisers who don't switch could have their registrations withdrawn

By DJAMIESON
REGULATION AND LEGISLATION MAY 16, 2013
Franken, Dems tell SEC to ban mandatory arbitration

Suddenly, mandatory arbitration is a hot topic. The latest sign: Sen. Al Franken and 36 Democratic lawmakers have called on the SEC to ban the agreements.

By Mark Schoeff Jr.
REGULATION AND LEGISLATION MAY 16, 2013
SEC commissioner: Mandatory arbitration must go

In a speech this week, SEC commissioner Luis Aguilar railed against mandatory arbitration agreements. Expect industry advocates to fire back.

By Mark Schoeff Jr.
REGULATION AND LEGISLATION MAY 16, 2013
Walter says SEC request for more examiners not enough

OK with bigger budget, fees or SRO but says oversight 'problem' needs to be fixed.

By Mark Schoeff Jr.