Regulation And Legislation

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RETIREMENT PLANNING OCT 07, 2016
Follow the presidential debate with InvestmentNews #INDebate16

Join the conversation with IN's senior Washington reporter, Mark Schoeff Jr., and your adviser peers on Twitter during the presidential debate at 9 p.m. ET Sunday using <b>#INDebate16</b>. <b><i>(More: <a href=&quot;http://www.investmentnews.com/article/20160925/FREE/160929970/hillary-clinton-vs-donald-trump-who-are-you-voting-against&quot; target=&quot;_blank&quot;>Advisers sound off about who, Hillary Clinton or Donald Trump, they are voting </i>against<i></a>)</b></i>

By Bloomberg
RETIREMENT PLANNING OCT 07, 2016
Merrill's move to end commission IRAs a 'tectonic shift' for brokerage industry

Move could pressure other wirehouses to follow suit and lead to adviser attrition. <b>Plus, <a href=&quot;http://www.investmentnews.com/section/fiduciary-focus&quot; target=&quot;_blank&quot;>Find answers to all of the most frequently asked questions on DOL fiduciary rule</a>.</b>

By Greg Iacurci
PRACTICE MANAGEMENT OCT 06, 2016
Advisers want Finra to focus on the 'bad guys' and leave the rest alone

New CEO likely to get an earful as he embarks on a 'listening tour.'

By Mark Schoeff Jr.
RETIREMENT PLANNING OCT 06, 2016
Merrill Lynch eliminates commission IRA business in response to DOL fiduciary rule

The wirehouse is the first major firm to announce concrete plans for compliance with the Labor Department regulation.

By Greg Iacurci
PRACTICE MANAGEMENT OCT 06, 2016
Advisers shutter offices to brace for Hurricane Matthew's punch

Southeastern firms likely will get to test those enhanced continuity plans the SEC is pushing.

By Liz Skinner
PRACTICE MANAGEMENT OCT 06, 2016
Finra expels real-estate investment firm formerly known as DT Securities and its CEO

Charges centered around making misrepresentations in private placements.

By Christine Idzelis
Owner of Texas broker-dealer target of $3 million complaint over variable annuities
ALTERNATIVES OCT 06, 2016
Owner of Texas broker-dealer target of $3 million complaint over variable annuities

Complaint naming Jackie Wadsworth, CEO of IMS Securities, centers around sale of VAs and real estate securities.

By Bruce Kelly
PRACTICE MANAGEMENT OCT 05, 2016
Credit Suisse to pay $90 million for padding assets under management

Employees reclassified clients' custodied assets as managed assets&#160;to meet sales targets.

By Mark Schoeff Jr. and Bloomberg News
Finra suspends ex-LPL rep over unsuitable short-term trading of unit investment trusts
INDEPENDENT BROKER DEALERS OCT 04, 2016
Finra suspends ex-LPL rep over unsuitable short-term trading of unit investment trusts

Mark Tauzin was suspended for eight months from any Finra-registered broker-dealer, fined $20,000 and required to pay $205,000 plus interest to 14 sets of clients.

By Bruce Kelly
REGULATION AND LEGISLATION OCT 04, 2016
Appeals court upholds dismissal of Camarda fee-only case against CFP Board

Florida advisers who claimed the certifying body unfairly punished them for their compensation description lost another round Tuesday.

By Mark Schoeff Jr.
RETIREMENT PLANNING OCT 04, 2016
Sponsor of small 401(k) sued for losses tied to large 'patent troll' investment

Lawsuit argues plan wasn't diversified. Case doesn't fit prevailing litigation theme of targeting multibillion-dollar retirement plans for excessive fees.

By Greg Iacurci
Triad Advisors to pay more than $200,000 for failing to give sales charge discounts on unit investment trusts, Finra says
REGULATION AND LEGISLATION OCT 04, 2016
Triad Advisors to pay more than $200,000 for failing to give sales charge discounts on unit investment trusts, Finra says

Firm agreed to a settlement that includes a $125,000 fine and $102,632 in restitution.

By Alessandra Malito
MUTUAL FUNDS OCT 03, 2016
Stress tests still unpopular with fund industry

Industry trade group, as well as some mutual fund giants, push back against Financial Stability Board's proposal for stress tests.

By John Waggoner
PRACTICE MANAGEMENT OCT 03, 2016
Massachusetts charges Morgan Stanley over unethical sales contest

The firm allegedly conducted an unethical, high-pressure, sales contest among its advisers to encourage clients to borrow money against their brokerage accounts. <b>Plus: <a href="//www.investmentnews.com/article/20160819/FREE/160819909/morgan-stanley-hit-with-150-million-401-k-lawsuit-for-self-dealing&quot;" target="&quot;_blank&quot;" rel="noopener noreferrer">Morgan Stanley is being sued over its 401(k) plan</a>.</b>

By Mark Schoeff Jr.
ETFS OCT 03, 2016
The gloves come off in the legal fight between Pimco and Bill Gross

Plus: Claims of a better robo platform, a bright spot in a dim economic recovery, and health insurance won't be less expensive this year or next

By Jeff Benjamin
REGULATION AND LEGISLATION OCT 02, 2016
How financial advisers can operate in a world without trust

By Ellie Zhu
PRACTICE MANAGEMENT SEP 30, 2016
Judging the presidential candidates by the CFP Board's standards of conduct

This is the choice we all face on Nov. 8 &amp;mdash; two flawed candidates &amp;mdash; neither of whom represents the principles we aspire to ourselves.

By Bloomberg
REGULATION AND LEGISLATION SEP 30, 2016
Don't discount public company disclosures in fiduciary process

Actionable disclosure information is central to fulfillment of fiduciary obligations and plays an important role in advancing the profession.

By Blaine F. Aikin
REGULATION AND LEGISLATION SEP 30, 2016
Thrivent Financial files sixth lawsuit against DOL fiduciary rule

Organization that provides financial services to Christians says it would not be able to use its dispute resolution mechanism if it had to adhere to the new regulation allowing class actions.

By Mark Schoeff Jr.
REGULATION AND LEGISLATION SEP 30, 2016
Deutsche Bank shares rise on report of $5.4 billion deal with Justice Department

By Bloomberg