Regulation And Legislation

Displaying 10508 results
REGULATION AND LEGISLATION NOV 07, 2010
Republicans to zero in on regulators, not the regulated

It remains to be seen whether lawmakers will extend tax cuts set to expire at the end of the year

By Mark Schoeff Jr.
REGULATION AND LEGISLATION NOV 07, 2010
What's the rush? Registering with states early may be a mistake for RIAs

Advisers who live by the maxim “the early bird catches the worm” might want to think twice before getting a head start on making the switch to state registration

By Lisa Shidler
REGULATION AND LEGISLATION NOV 05, 2010
Finra and IAA square off in adviser oversight battle

Finra and IAA square off in an adviser oversight battle

By Mark Schoeff Jr.
GOP gains might boost Finra's regulatory reach
REGULATION AND LEGISLATION NOV 04, 2010
GOP gains might boost Finra's regulatory reach

Rep. Spencer Bachus (pictured) is now in line to head the House finance committee -- and he's been a key supported of an SRO for financial advisers

By Dan Jamieson
REGULATION AND LEGISLATION NOV 04, 2010
Who should oversee advisers? Finra, IAA square off

The SEC's study on fiduciary duty has inspired thousands of comment letters and nearly two dozen visits to the agency by interest groups. But a report that may have just as big an impact on the advisory industry is garnering little attention.

By Bloomberg
REGULATION AND LEGISLATION NOV 03, 2010
Republicans to zero in on regulators, not the regulated

Pressure likely to be exerted on SEC, Finra, other agencies; 'unprecedented level of congressional oversight'

By Mark Schoeff Jr.
REGULATION AND LEGISLATION NOV 03, 2010
SEC bans brokers from allowing unsupervised trades by clients

The U.S. Securities and Exchange Commission banned brokers from letting clients make unsupervised trades on stock exchanges amid concern that a rogue transaction could roil markets.

By Bloomberg
REGULATION AND LEGISLATION NOV 02, 2010
SEC probing whether 49er legends pulled a bumerooski on investors: Sources

Commission said to be examing whether HRJ investment firm shifted debt obligations to limited partners

By John Goff
Ex-NBA, UConn star palmed clients' money: DOJ
REGULATION AND LEGISLATION NOV 02, 2010
Ex-NBA, UConn star palmed clients' money: DOJ

Tate George charged with running $2M Ponzi scheme; made memorable jumper for Huskies in NCAA tournament

By John Goff
SEC says suicide broker bilked big-time college coaches
REGULATION AND LEGISLATION NOV 02, 2010
SEC says suicide broker bilked big-time college coaches

Claims Salinas defrauded Lute Olsen, others out of $50M; killed self in July

By John Goff
REGULATION AND LEGISLATION NOV 02, 2010
John Elway's ex-adviser cops to $71M investment scam

Mueller pleads guilty to ripping off the Hall of Fame quarterback, 64 other clients; 'he's accepting responsibility'

By Associated Press
Finra slaps Next Financial with $400K fine
INDEPENDENT BROKER DEALERS NOV 01, 2010
Finra slaps Next Financial with $400K fine

Next Financial Group Inc. has been hit with a significant regulatory action for the third time in three years, with Finra this month levying a $400,000 fine and $102,000 in restitution to clients.

By Bruce Kelly
RIA NEWS NOV 01, 2010
Finra floats ADV form for brokers

In yet another sign of the move toward regulatory harmonization, the Financial Industry Regulatory Authority Inc. has asked for input on how to create an ADV-like form for broker-dealers.

By Dan Jamieson
REGULATION AND LEGISLATION NOV 01, 2010
Election 2010: Should advisers be worried?

It's been an ugly, mud-slinging, smackdown of a campaign. The results may not be any prettier — at least, not for advocates of financial reform.

By Mark Schoeff Jr.
REGULATION AND LEGISLATION NOV 01, 2010
Elections could bench — or eject — heavy hitters

The potential for political upheaval on Capitol Hill following the Nov. 2 election has grabbed the attention of many financial interest groups — and has some preparing to change the targets for their advocacy efforts

By Mark Schoeff Jr.
RIA NEWS OCT 29, 2010
SEC poised to ban brokers from permitting unsupervised trades

The U.S. Securities and Exchange Commission is poised to ban brokers from letting clients make unsupervised trades on stock exchanges, as it grows increasingly concerned that a rogue transaction could roil markets

By Bloomberg
REGULATION AND LEGISLATION OCT 29, 2010
Finra has B-D bias, say wary advisers

Financial advisers are up in arms about the prospect of Finra's taking over the regulation of investment advisers from the SEC — an idea that has been gaining steam in recent months

By Jessica Toonkel
Dem-GOP tax talk: 'A lot of theater' — but little action
REGULATION AND LEGISLATION OCT 28, 2010
Dem-GOP tax talk: 'A lot of theater' — but little action

Congress returned to work this week with a flurry of statements and posturing by political leaders regarding the soon-to-expire Bush administration tax cuts. The maneuvering likely sets the stage for a pre-election battle, rather than a compromise.

By Bloomberg
REGULATION AND LEGISLATION OCT 27, 2010
Industry groups take fiduciary arguments to SEC

One of the groups meeting with the SEC during the second phase of its study on fiduciary duty believes that the agency is likely to promulgate a regulation imposing a universal standard of care for retail investment advice.

By Mark Schoeff Jr.
REGULATION AND LEGISLATION OCT 27, 2010
Who's supposed to watch what?

A growing fog of regulation is blurring the line that separates the compliance responsibilities of broker-dealers from those of their clearing firms.

By Bloomberg