Regulation And Legislation

Displaying 10463 results
Market turmoil hurts revenue at Morgan Stanley wealth unit
NEWS PRACTICE MANAGEMENT MAY 03, 2016
Market turmoil hurts revenue at Morgan Stanley wealth unit

CEO James Gorman says DOL's fiduciary rule isn't "the be-all and end-all" for the bank's brokerage business.

By Christine Idzelis
What is 'reasonable' cost under DOL's fiduciary rule? Well, it depends
NEWS RETIREMENT PLANNING MAY 03, 2016
What is 'reasonable' cost under DOL's fiduciary rule? Well, it depends

Inherent to acting in a client's best interest is ensuring costs are reasonable, an ERISA concept brokers need to understand.

By Greg Iacurci
Variable and fixed-indexed annuities feel sting of DOL fiduciary rule
NEWS LIFE INSURANCE AND ANNUITIES MAY 03, 2016
Variable and fixed-indexed annuities feel sting of DOL fiduciary rule

Fixed indexed annuities lost a favorable exemption they enjoyed under the proposed rule, and the impact on variable annuities likely won't be much changed from original forecasts.

By Greg Iacurci
Post-DOL fiduciary rule, Schwab dumps load funds as advisers yawn
NEWS MUTUAL FUNDS MAY 02, 2016
Post-DOL fiduciary rule, Schwab dumps load funds as advisers yawn

The move is another sign that the days of high-cost funds are numbered, and that the Department of Labor's new rule is speeding that decline.

By John Waggoner
NEWS FINTECH MAY 02, 2016
Bright side of the new DOL fiduciary rule: Tech and efficiency

The rule is likely to unleash a wave of software upgrades and business relationships that will result in greater efficiencies for advisory firms.

By MFXFeeder
NEWS PRACTICE MANAGEMENT MAY 02, 2016
Critical steps to fix the examination gap among advisers

One of the most intractable issues facing the advisory business is the severe imbalance in examination frequency between broker-dealers and RIAs.

By Dale Brown
Senate approves resolution to kill DOL fiduciary rule
NEWS REGULATION AND LEGISLATION MAY 01, 2016
Senate approves resolution to kill DOL fiduciary rule

But without enough votes to overturn a threatened presidential veto, assistant secretary of Labor Phyllis Borzi calls the action 'the usual Washington Kabuki theater.'

By Mark Schoeff Jr.
NEWS RIAS MAY 01, 2016
Cease-fire by DOL fiduciary rule opponents may not last long

The financial industry generally has not barked about the final fiduciary rule, but that doesn't mean that it won't eventually bite.

By Mark Schoeff Jr.
NEWS MUTUAL FUNDS APR 29, 2016
Invesco pays $10M DOL settlement for ERISA violation

Plus: Warren Buffett isn't sweating the election outcome, find out if you're getting a fair price for airfares, and a Goldman Sachs gym with progressive membership dues

By Jeff Benjamin
Schwab shuns load funds in DOL's wake
NEWS MUTUAL FUNDS APR 29, 2016
Schwab shuns load funds in DOL's wake

In the latest sign of the changes to come in the wake of the new DOL fiduciary rule, Charles Schwab is taking mutual funds with sales loads off its shelves.

By Jeff Benjamin
Increased SEC scrutiny may be making ETF providers uncomfortable
NEWS EQUITIES APR 29, 2016
Increased SEC scrutiny may be making ETF providers uncomfortable

Increased SEC scrutiny may be making ETF providers uncomfortable, and the industry may soon have to adapt to new regulations. </br><b><i>(More: <a href=&quot;http://www.investmentnews.com/section/specialreport/20160417/ETF042016&quot; target=&quot;_blank&quot;>The full Spotlight on ETFs special report</a>)</b></i>

By John Waggoner
NEWS RETIREMENT PLANNING APR 28, 2016
With regulations looming and robos stalking, advisers must prove their worth

Experts say the complexity of retirement income planning can set human advisers apart and justify their fees.

By Mark Schoeff Jr.
NEWS RETIREMENT PLANNING APR 28, 2016
Congress poised for its last stand against DOL fiduciary rule

The first installment of InvestmentNews' new <i>Fiduciary Focus</i> column looks inside the political wrangling taking place as the fiduciary rule nears finalization.

By Mark Schoeff Jr.
Why independent broker-dealers are in survival mode
NEWS BROKER DEALERS APR 27, 2016
Why independent broker-dealers are in survival mode

<i>InvestmentNews</i> senior columnist Bruce Kelly talks about the challenges facing indie B-Ds and what many firms are doing to survive.

By InvestmentNews Staff
DOL fiduciary rule will impact less than 10% of Bank of America wealth assets, CFO says
NEWS REGULATION AND LEGISLATION APR 26, 2016
DOL fiduciary rule will impact less than 10% of Bank of America wealth assets, CFO says

Move to Merill Lynch One platform will blunt regulation's impact.

By Christine Idzelis
Galvin widens investigation into alleged RCS proxy fraud
NEWS BROKER DEALERS APR 26, 2016
Galvin widens investigation into alleged RCS proxy fraud

Massachusetts securities division examining independent broker-dealers that sold RCS alternative investments such as nontraded REITs.

By Bruce Kelly
NEWS PRACTICE MANAGEMENT APR 25, 2016
Advisers to face stricter anti-money-laundering rules

Government focus on rooting out financial crimes includes proposals to get advisers more involved.

By Liz Skinner
Lawsuits against fiduciary rule likely to cite DOL's lack of authority
NEWS REGULATION AND LEGISLATION APR 25, 2016
Lawsuits against fiduciary rule likely to cite DOL's lack of authority

Based on comment letters and testimony before Congress, a court challenge will probably focus on who brokers really answer to

By Mark Schoeff Jr.
NEWS BROKER DEALERS APR 25, 2016
Still plenty of headaches for independent broker-dealers in the DOL fiduciary rule

New business models, heavy compliance costs and figuring out 'reasonable' fees are among the items giving IBDs fits.

By Liz Skinner
Stifel fined $750,000 for failure to follow reserve requirements
NEWS PRACTICE MANAGEMENT APR 25, 2016
Stifel fined $750,000 for failure to follow reserve requirements

The broker-dealer didn't account for reserves needed to cover loans secured with customer assets.

By Greg Iacurci