Regulation And Legislation

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REGULATION AND LEGISLATION MAR 21, 2010
Push to curb advice on rollovers could hamstring IRA sales

By Jessica Toonkel Marquez
Gold rush forces rethink of futures regs
REGULATION AND LEGISLATION MAR 19, 2010
Gold rush forces rethink of futures regs

The recent surge in the price of gold has the CFTC considering placing restrictions on speculative trades in gold, silver, and copper.

By Associated Press
REGULATION AND LEGISLATION MAR 19, 2010
On our blogs: A fiduciary ghost story

The claims that advisers would have to select from the entire universe of options and that results, not process, determine fiduciary appropriateness certainly tell a scary story of how a fiduciary standard would unfairly target well meaning advisers who are only trying to do what's best.

By Mark Bruno
Obama looks to crack down on abuses in 401(k) advice biz
RETIREMENT PLANNING MAR 19, 2010
Obama looks to crack down on abuses in 401(k) advice biz

A new proposal targeting tainted investment advice would affect millions of workers.

By Associated Press
REGULATION AND LEGISLATION MAR 19, 2010
'Madoff of the Midwest' gets nine years in prison

A Missouri woman was sentenced Thursday to nine years in federal prison for a grain fraud scheme that bilked 179 farmers out of a combined $27.4 million and earned her the nickname the "Madoff of the Midwest."

By Associated Press
REGULATION AND LEGISLATION MAR 19, 2010
Judge says Madoff snookered Cohmad Securities, tosses SEC suit

Finding accusations "speculative and flimsy," a judge has dismissed civil securities fraud charges against a New York brokerage firm and its executives that resulted from a probe into Bernard Madoff's epic fraud.

By Associated Press
REGULATION AND LEGISLATION MAR 18, 2010
Judge tosses suit alleging Finra misled members

Two plaintiffs claimed that brokerages were misled about NASD's merger with the NYSE's regulatory unit. Apparently, Judge Jed Rakoff wasn't moved by their arguments.

By Dan Jamieson
REGULATION AND LEGISLATION MAR 18, 2010
Finra faces rough road as it seeks Errico's successor

The Financial Industry Regulatory Authority Inc. has a tough task ahead of it in searching for the right person to replace Robert Errico in running its member regulation division.

By Dan Jamieson
REGULATION AND LEGISLATION MAR 18, 2010
Finra examinations boss Robert Errico to step down

Head of member regulation will be leaving the financial industry watchdog at the end of March.

By Dan Jamieson
REGULATION AND LEGISLATION MAR 18, 2010
Securities America advisers caught in the private-placement crossfire

Last week, Securities America Inc. was tagged with a lawsuit from Massachusetts regulators alleging that the firm misled investors who were sold high-risk private placements.

By Bruce Kelly
REGULATION AND LEGISLATION MAR 18, 2010
Peter Schiff: Obama's bank plan is 'doomed to failure'

<i>The following is an excerpt of commentary from Peter Schiff, president of Euro Pacific Capital and author of tCrash Proof 2.0 regarding, President Obama's announcement today about the regulation of banks.</I>

By Peter Schiff
REGULATION AND LEGISLATION MAR 18, 2010
Dykstra down on strikes

By Bruce Kelly
RETIREMENT PLANNING MAR 17, 2010
House bill introduced on 401(k) fee disclosure

Legislation that would require that all fees be disclosed to 401(k) plan participants in simplified form is needed, most of the panelists at a hearing on the legislation today testified.

By Sara Hansard
REGULATION AND LEGISLATION MAR 16, 2010
Delaware joins states addressing lapsed estate tax

Delaware attorneys have drafted a bill to address the lack of a federal estate tax, joining a slew of states taking this matter into their own hands.

By Jessica Toonkel Marquez
REGULATION AND LEGISLATION MAR 16, 2010
States prepare for more oversight duties

Faced with the prospect of gaining jurisdiction over 4,200 registered investment advisory firms, state regulators are scrambling to make sure they have the resources to handle a handoff.

By Sara Hansard
ALTERNATIVES MAR 16, 2010
States gain in turf war over private placements

State securities regulators are gaining ground in their battle to regain authority to oversee private-placement offerings.

By Sara Hansard
REGULATION AND LEGISLATION MAR 16, 2010
State securities regulator questions Schapiro's 'single standard'

SEC Chairman Mary Schapiro's comments on Thursday that all financial advisers who provide personalized advice should come under &#8220;meaningful&#8221; fiduciary standards has drawn heat from a group representing state securities regulators.

By Bloomberg
States eye bigger role in clamping down on private-placement 'bad actors'
REGULATION AND LEGISLATION MAR 16, 2010
States eye bigger role in clamping down on private-placement 'bad actors'

State securities regulators are pushing to get House support for legislation allowing states to have greater oversight over private-placement offerings.

By Bloomberg
Dodd's dud? 'Fed-as-consumer-watchdog' plan greeted with howls
REGULATION AND LEGISLATION MAR 15, 2010
Dodd's dud? 'Fed-as-consumer-watchdog' plan greeted with howls

Bankers. Business groups. Consumer advocates. They all lined up to bash the Conn. Senator's latest proposal for financial reform.

By Associated Press
RIA NEWS MAR 15, 2010
Johnson amendment would let brokers off the fiduciary hook

Sen. Tim Johnson, D-S.D., is circulating legislative language that would delete a requirement that brokers acting as advisers be registered investment advisers.

By Sara Hansard