Regulation And Legislation

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Money market funds still face contagion risk: SEC's Plaze
MUTUAL FUNDS APR 12, 2012
Money market funds still face contagion risk: SEC's Plaze

“There have been hundreds of money fund bailouts, where the funds would have broken the buck if the manager hadn't stepped in,” said Robert E. Plaze, deputy director of the Securities and Exchange Commission's Division of Investment Management

By Jason Kephart
Ex-broker charged with litany of offenses — including fleecing church
REGULATION AND LEGISLATION APR 12, 2012
Ex-broker charged with litany of offenses — including fleecing church

Police claims James Scott McKee stole $584K from three investor; Finra alleges rep deceived clients for more than five years

By Bruce Kelly
REGULATION AND LEGISLATION APR 12, 2012
Ex-Red Sox backstop wins $1.2M in damages from Merrill

Not every ballplayer can cash in like Prince Fielder, but at least arbitrators were there to backstop ex-Red Sox catcher Doug Mirabelli, awarding the knuckleball specialist $1.2 million in a suitability case involving Merrill Lynch.

By Bloomberg
REGULATION AND LEGISLATION APR 11, 2012
States give RIAs more time to get help with multiple registrations

NASAA today said advisers have until April 30 to sign up for a coordinated review program offered by state regulators.

By DJAMIESON
Baseless point: J.P. Morgan wins suit over $3M typo
REGULATION AND LEGISLATION APR 11, 2012
Baseless point: J.P. Morgan wins suit over $3M typo

Judge says claimant knew $3.1M salary offer was in error; 'eyes wide open'

By John Goff
SEC must get smart with exams, be more efficient
REGULATION AND LEGISLATION APR 11, 2012
SEC must get smart with exams, be more efficient

Even though roughly 3,000 investment advisers set to switch their registration from the SEC to the states by this summer, the commission's oversight burden will still be heavy. Limited resource means the regulator must conduct exams more efficiently, which translates to zeroing in on riskier practices.

By Mark Schoeff Jr.
RIA NEWS APR 11, 2012
SEC's new advisory cop learned beat at Legg Mason

By Liz Skinner
REGULATION AND LEGISLATION APR 11, 2012
SRO bill opponents gaining traction with lawmakers

By Mark Schoeff Jr.
Ten legislative and regulatory developments advisers need to know
REGULATION AND LEGISLATION APR 11, 2012
Ten legislative and regulatory developments advisers need to know

State regulators said they'll help coordinate reviews among states for some midsize investment advisers who must switch to state oversight from Securities and Exchange Commission registration as prescribed by the Dodd-Frank financial reforms measure. <a href=http://www.investmentnews.com/article/20111207/FREE/111209948><b>(Read more)</b></a>

By Liz Skinner
REGULATION AND LEGISLATION APR 11, 2012
Industry groups studying insider trading issue

Industry groups are looking at getting behind proposals that would prohibit members of Congress and others involved in the legislative process from trading stocks or commodities based on nonpublic information related to their work in government

By Liz Skinner
REGULATION AND LEGISLATION APR 11, 2012
SEC bound to protect less sophisticated investors

The following is an edited version of a speech given Sept. 12 by Elisse B. Walter, a member of the Securities and Exchange Commission, in Wichita, Kan., at the annual conference of the North American Securities Administrators Association Inc.

By MFXFeeder
MUTUAL FUNDS APR 10, 2012
Three clouds on fund investors' horizon

By Karrie McMillan
RETIREMENT PLANNING APR 09, 2012
Industry groups to DOL on fiduciary data collection: Sorry, we can't help

Labor Department is seeking details on their members' IRAs

By Mark Schoeff Jr.
REGULATION AND LEGISLATION APR 08, 2012
Fi360: Advisers should be more open with disclosures to clients

By Paul Menchaca
REGULATION AND LEGISLATION APR 06, 2012
It's game over for state regulators on crowd funding

State security administrators failed to take state pre-emption out of a provision that authorizes start-up companies to raise capital on the internet and through social media.

By Mark Schoeff Jr.
REGULATION AND LEGISLATION APR 05, 2012
CFP Board hires first director of investigations

In a move that highlights its increasing emphasis on enforcement, the Certified Financial Planner Board of Standards Inc. has hired its first director of investigations.

By Mark Schoeff Jr.
Advisers could be tapped as Congress seeks to expand Ponzi victim payouts
REGULATION AND LEGISLATION APR 05, 2012
Advisers could be tapped as Congress seeks to expand Ponzi victim payouts

Federal lawmakers are pressing officials of the Securities Investor Protection Corp. to reimburse its Ponzi scheme victims.

By Mark Schoeff Jr.
Bank executive wins six-figure arb award over CBO losses
REGULATION AND LEGISLATION APR 04, 2012
Bank executive wins six-figure arb award over CBO losses

Finra awards bank executive $870,000 over suitability of TW Tax Advantaged Fund

By Liz Skinner
Morgan Keegan loses dismissal bid in $8B Fairfax suit
INDEPENDENT BROKER DEALERS APR 04, 2012
Morgan Keegan loses dismissal bid in $8B Fairfax suit

Morgan Keegan, the brokerage being sold to Raymond James Financial Corp., lost its bid to be dismissed from an $8 billion lawsuit brought by Canadian insurer Fairfax Financial Holdings Ltd.

By Doug Cubberley
Merrill to pay $1 million over Finra arbitration rules
REGULATION AND LEGISLATION APR 04, 2012
Merrill to pay $1 million over Finra arbitration rules

Merrill Lynch will pay $1 million to settle Finra claims it circumvented rules that require arbitration before disputes go to court

By Bloomberg