Regulation And Legislation

Displaying 10531 results
Finra extends brokerage office remote inspections into 2022
PRACTICE MANAGEMENT SEP 16, 2021
Finra extends brokerage office remote inspections into 2022

The rule change is effective immediately and will become operative on Jan. 1, if the Securities and Exchange Commission does not object.

By Mark Schoeff Jr.
Galvin fines MassMutual $4 million in 'Roaring Kitty' case
REGULATION AND LEGISLATION SEP 16, 2021
Galvin fines MassMutual $4 million in 'Roaring Kitty' case

Keith Gill’s employment at MML Investors Services overlapped with his involvement in the GameStop and meme stock frenzy that occurred in late 2020 and early 2021, according to the regulator.

By Bruce Kelly
GPB sells top auto-dealership asset for $880 million
ALTERNATIVES SEP 16, 2021
GPB sells top auto-dealership asset for $880 million

The deal looks like a positive development for confused and cash-starved investors and financial advisers who sold the private placements.

By Bruce Kelly
House tax proposal would close door on popular back-door Roth IRA conversions
RETIREMENT PLANNING SEP 15, 2021
House tax proposal would close door on popular back-door Roth IRA conversions

The Ways and Means Committee approved $2.3 trillion in tax hikes to pay for the Biden administration's sweeping social and climate spending plan.

By Mark Schoeff Jr.
DOL proposal throws cold water on group-of-plans model
RETIREMENT PLANNING SEP 15, 2021
DOL proposal throws cold water on group-of-plans model

A proposed regulatory change wouldn't allow a single group of plans to have a consolidated audit, meaning that every participating employer of a certain size would have to have an annual audit.

By Emile Hallez
Warren asks the Fed to break up Wells Fargo
WIREHOUSES SEP 14, 2021
Warren asks the Fed to break up Wells Fargo

In the wake of fresh regulatory action and a $250 million fine imposed on the bank this month, the senator asked the Fed to force the bank to separate its traditional bank and Wall Street businesses.

By Bloomberg
Gensler defends ESG disclosures against Republican backlash
ALTERNATIVES SEP 14, 2021
Gensler defends ESG disclosures against Republican backlash

GOP senators assert that the SEC's effort to expand ESG reporting pushes a social policy agenda, while the SEC chair says agency is reacting to investors' demands for more information.

By Mark Schoeff Jr.
SEC continues to smack firms over conflicts around fund fees
PRACTICE MANAGEMENT SEP 14, 2021
SEC continues to smack firms over conflicts around fund fees

Rothschild and MML Investors Services are latest to be penalized for inadequate communications to clients concerning fund fees.

By Bruce Kelly
Advisers express relief at tax increases proposed in budget bill
REGULATION AND LEGISLATION SEP 13, 2021
Advisers express relief at tax increases proposed in budget bill

The House Ways and Means proposal does not include taxing unrealized capital gains on inherited assets and the hike it suggests in the capital gains tax rate is not nearly as big as some feared.

By Mark Schoeff Jr.
Lawsuit over 401(k) fees, active target-date series fails
RETIREMENT PLANNING SEP 13, 2021
Lawsuit over 401(k) fees, active target-date series fails

Comparing actively managed funds on the plan menu to index funds that were available was not an ideal comparison, according to the court.

By Emile Hallez
Democrats slim Biden tax plan
REGULATION AND LEGISLATION SEP 13, 2021
Democrats slim Biden tax plan

In an attempt to appeal to moderates, House Democrats have proposed a package of tax increases that would raise the top rate on capital gains from 20% to 25%, instead of the 39.6% that Biden proposed.

By Bloomberg
20 years of resilience
REGULATION AND LEGISLATION SEP 13, 2021
20 years of resilience

The financial sector is in a much better place than it was 20 years ago, thanks to proactive safeguards that were put in place to protect the assets of millions of investors in the wake of the 9/11 attacks.

By InvestmentNews
Ruppert to succeed Havlik as Finra’s supervision chief
REGULATION AND LEGISLATION SEP 10, 2021
Ruppert to succeed Havlik as Finra’s supervision chief

Bari Havlik, who's retiring, created a single national examination and risk monitoring program during her stint as Finra's top cop.

By InvestmentNews
Wells Fargo fined $250 million over consumer missteps
WIREHOUSES SEP 10, 2021
Wells Fargo fined $250 million over consumer missteps

The Office of the Comptroller of the Currency cited deficiencies in the bank's home-lending business and said it violated a 2018 order tied to past problems.

By Bloomberg
House committee approves auto-IRA legislation
RETIREMENT PLANNING SEP 10, 2021
House committee approves auto-IRA legislation

Two Democrats joined all Republicans on the panel in opposing the measure, which is designed to expand workplace retirement savings and would impose a tax on businesses that don't set up plans.

By Mark Schoeff Jr.
Fund industry wants lower fees for document delivery
MUTUAL FUNDS SEP 09, 2021
Fund industry wants lower fees for document delivery

The Investment Company Institute says 25 cents per emailed document is excessive and hurts investors. Broadridge, a fintech firm that sends most proxies and other material to fund shareholders, asserts its system reduces costs for investors.

By Mark Schoeff Jr.
Coinbase threat demonstrates Gensler's focus on taming crypto
ALTERNATIVES SEP 08, 2021
Coinbase threat demonstrates Gensler's focus on taming crypto

The agency has said that it will sue the exchange if Coinbase lets customers earn interest on their digital tokens.

By Bloomberg
Britney Spears’ father files petition to end conservatorship
RETIREMENT PLANNING SEP 08, 2021
Britney Spears’ father files petition to end conservatorship

The pop star’s attorney calls the court filing a ‘vindication’ of her efforts to regain independence.

By InvestmentNews
House Ways and Means Committee to vote on auto-IRA legislation
RETIREMENT PLANNING SEP 07, 2021
House Ways and Means Committee to vote on auto-IRA legislation

Under the legislation, which could become part of the $3.5 trillion budget bill working its way through Congress, employers that don't offer a retirement plan would have to establish an auto-IRA or 401(k) for their workers.

By Mark Schoeff Jr.
SEC marketing rule causes advisers most compliance concerns
RIA NEWS SEP 07, 2021
SEC marketing rule causes advisers most compliance concerns

Even though advisers don’t have to comply with the rule for more than a year, it ranked as the hottest compliance topic, according to a survey; cybersecurity and climate change/ESG were other areas worrying advisers.

By Mark Schoeff Jr.