Regulation And Legislation

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Warren asks Robinhood to explain trading restrictions
REGULATION AND LEGISLATION FEB 02, 2021
Warren asks Robinhood to explain trading restrictions

The Democratic senator wants to know whether the limits the online brokerage set on trading shares of GameStop and other companies were influenced by hedge fund investors or financial services partners.

By Bloomberg
Financial Services Institute defends Reg BI under new administration
PRACTICE MANAGEMENT FEB 02, 2021
Financial Services Institute defends Reg BI under new administration

Fiduciary advocates are pressing the Securities and Exchange Commission to overhaul the measure. FSI and other industry groups will lobby to keep it intact.

By Mark Schoeff Jr.
Finra zeroes in on online brokerage apps
FINTECH FEB 01, 2021
Finra zeroes in on online brokerage apps

The broker-dealer self-regulator cited a surge of new retail investors entering the markets via online platforms, which has led to a spike in more sophisticated kinds of trading, such as options.

By Mark Schoeff Jr.
CFP Board forms commission to strengthen sanction guidelines
PRACTICE MANAGEMENT FEB 01, 2021
CFP Board forms commission to strengthen sanction guidelines

The Certified Financial Planner Board established a 15-member commission to review and recommend changes to its sanction guidelines for current mark holders as well as its fitness standards for candidates for certification.

By Mark Schoeff Jr.
Virginia presses on with auto-IRA bill
RETIREMENT PLANNING FEB 01, 2021
Virginia presses on with auto-IRA bill

The VirginiaSaves program would be similar to automatic IRAs used in several states, including Oregon, Illinois and California. Virginia’s House of Delegates passed the measure last week by a vote of 56 to 44.

By Emile Hallez
In first, B-D that sold GPB private placements loses arbitration
INDEPENDENT BROKER DEALERS FEB 01, 2021
In first, B-D that sold GPB private placements loses arbitration

The first investor arbitration claims involving the products have been decided over the past few months, but the claim against Arete Wealth Management appears to be the first substantial win for investors against a broker-dealer.

By Bruce Kelly
No excuse not to find missing plan participants
OPINION FEB 01, 2021
No excuse not to find missing plan participants

The Labor Department has stepped up its audits of plans that have lost track of participants, and noted last month that in 2020 alone, investigators had helped reunite missing participants with plan benefits “with a present value in excess of $1.4 billion.”

By InvestmentNews
Robinhood adds market manipulation and gamification to a quiver of woes
FINTECH JAN 29, 2021
Robinhood adds market manipulation and gamification to a quiver of woes

The free-trading app faces renewed accusations that its platform is manipulative amid a decision to halt certain trades just a month after Massachusetts regulators accused it of ‘gamification.’

By Nicole Casperson
SEC vows to act on potential manipulation during trading surge
REGULATION AND LEGISLATION JAN 29, 2021
SEC vows to act on potential manipulation during trading surge

Market volatility related to a surge in trading of shorted stocks has drawn the attention of regulators and lawmakers. But it’s not clear whether there's a role for them to play.

By Mark Schoeff Jr.
Robinhood hit with lawsuits for blocking GameStop trades
PRACTICE MANAGEMENT JAN 28, 2021
Robinhood hit with lawsuits for blocking GameStop trades

While users of the trading platforms claim in court filings that they suffered losses from the restrictions, legal experts say brokerages have broad powers to block or restrict transactions — all of which is spelled out as part of customer agreements everyone signs to gain access to the services.

By Bloomberg
Fiduciary advocates urge SEC to rename Reg BI, eliminate broker conflicts
REGULATION AND LEGISLATION JAN 28, 2021
Fiduciary advocates urge SEC to rename Reg BI, eliminate broker conflicts

In addition changing Reg BI's nomenclature, the Institute for the Fiduciary Standard called for eliminating some broker conflicts of interest, such as compensation incentives for product sales, revising the disclosure Form CRS and clarifying that investment advisers must avoid conflicts of interest rather than just disclosing them.

By Mark Schoeff Jr.
Finra bars former Merrill Lynch rep
WIREHOUSES JAN 28, 2021
Finra bars former Merrill Lynch rep

Atlanta-based broker Tyler Delahunt had been discharged by the wirehouse over alleged outside investments.

By InvestmentNews
Gensler poised to confront stock market hit by historic mania
REGULATION AND LEGISLATION JAN 28, 2021
Gensler poised to confront stock market hit by historic mania

As President Joe Biden’s pick to lead the Securities and Exchange Commission, he will be faced with a run-up in share prices with few parallels.

By Bloomberg
The latest in financial #AdviserTech — January 2021
FINTECH JAN 27, 2021
The latest in financial #AdviserTech — January 2021

The big news, announcements and underlying trends emerging in the world of technology solutions for financial advisers!

By Michael Kitces
Experts anticipate SEC probe of GameStop trading fluctuations
REGULATION AND LEGISLATION JAN 27, 2021
Experts anticipate SEC probe of GameStop trading fluctuations

The agency is likely parsing the activity to see if there’s deliberate manipulation or collateral effects more broadly on stock prices. Shares of the video game and consumer electronics retailer soared 93% on Tuesday and are up more than eightfold for the month.

By Mark Schoeff Jr.
Regulators, investor advocates warn against deregulating private markets
REGULATION AND LEGISLATION JAN 26, 2021
Regulators, investor advocates warn against deregulating private markets

As the Biden administration and lawmakers begin negotiations over President Joe Biden’s $1.9 trillion coronavirus relief proposal, state regulators are concerned that private-market deregulation could become a bargaining chip.

By Mark Schoeff Jr.
Finra bars former Merrill rep accused of churning
WIREHOUSES JAN 26, 2021
Finra bars former Merrill rep accused of churning

Charles Kenahan had already been barred by the state of New Hampshire in December.

By InvestmentNews
Finra fines Goldman Sachs $1.25 million over fingerprinting
REGULATION AND LEGISLATION JAN 26, 2021
Finra fines Goldman Sachs $1.25 million over fingerprinting

The regulator says the firm didn't properly screen more than 1,000 nonregistered employees.

By InvestmentNews
Regulators must address savers’ cognitive decline
OPINION JAN 25, 2021
Regulators must address savers’ cognitive decline

Today, unfortunately, cases of cognitive decline are prevalent, and the informal and below-the-radar approaches that addressed the issue in the past are inadequate to meet the current challenge.

By InvestmentNews
Dramatic changes to legislation seem unlikely despite full Democratic control
RETIREMENT PLANNING JAN 25, 2021
Dramatic changes to legislation seem unlikely despite full Democratic control

An evenly divided Senate might tweak rather than overhaul investment-advice policy, such as the treatment of rollovers, while resisting some tax increases Biden advocated during the election.

By Mark Schoeff Jr.