Regulation And Legislation

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REGULATION AND LEGISLATION MAR 10, 2010
Ex-AIG adviser who practiced voodoo on victims gets 12 years for fraud

A Tennessee representative formerly affiliated with AIG Financial Advisors Inc. spent time making voodoo dolls of his victims to ward off their damaging testimony, prosecutors said.

By Bruce Kelly
REGULATION AND LEGISLATION MAR 09, 2010
SIPC's legal tab for Madoff liquidation now up to $37M — and counting

By Associated Press
FDIC seizes four more banks
REGULATION AND LEGISLATION MAR 08, 2010
FDIC seizes four more banks

Regulators shut four banks from California to Florida on Friday, boosting to 20 the number of U.S. bank failures this year following the 140 closures last year in the worst financial climate in decades.

By Associated Press
LIFE INSURANCE AND ANNUITIES MAR 08, 2010
CFP Board strips credentials from admitted Ponzi-schemer

The Certified Financial Planner Board of Standards Inc on Friday placed Oren Eugene Sullivan Jr. under interim suspension, keeping the ex-broker from using its credentials.

By Darla Mercado
RETIREMENT PLANNING MAR 08, 2010
Industry groups retrench on defining financial planners

Bowing to the political clout of the insurance and securities industries, the Financial Planning Coalition has given up its effort to get Congress to establish a definition of financial planning that would have brought thousands of insurance and securities brokers and money managers under the sway of an oversight board that the FPC seeks to create.

By Jed Horowitz
RETIREMENT PLANNING MAR 08, 2010
Financial Planning Coalition accepts reality on regulatory reform

In the face of opposition from influential insurance and securities industry groups, the Financial Planning Coalition has moderated its ambition to get Congress to establish a broad regulatory scheme for financial planners.

By Bloomberg
SEC's Aguilar says target date recommendations coming soon
MUTUAL FUNDS MAR 07, 2010
SEC's Aguilar says target date recommendations coming soon

The Securities and Exchange commissioner says "vague and confusing" language describing target date funds led to investor confusion when investments performed poorly during the market downturn.

By David Hoffman
RIA NEWS MAR 07, 2010
Schwab ordered by Finra to pay ex-employee $1.8M

The self regulatory organization ruled that Schwab's human resources group committed “gross negligence, and contributed to the damages suffered” by a former employee who claimed the brokerage had made defamatory comments on his termination notice.

By Bruce Kelly
RIA NEWS MAR 04, 2010
Financial adviser admits to embezzling $4.3M from clients

A former financial adviser from Plymouth, Mass., has pleaded guilty in federal court to embezzling $4.3 million from his clients and using the money for personal expenses, including to make mortgage payments and pay his daughter's college tuition.

By Associated Press
REGULATION AND LEGISLATION MAR 04, 2010
Mark Cuban claim of SEC bias is 'absurd,' agency says

Securities and Exchange Commission investigators were trying to persuade supervisors to protect billionaire Mark Cuban's privacy when they internally e-mailed photos demonstrating his fame, the agency said.

By Bloomberg
REGULATION AND LEGISLATION MAR 04, 2010
Citigroup to repay $20B debt to U.S. Treasury

Citigroup Inc. said it is repaying $20 billion in bailout money it received from the Treasury Department, in a bid to reduce government influence over the banking giant.

By Associated Press
REGULATION AND LEGISLATION MAR 03, 2010
Court upholds branch office manager's win against Hilliard

A Federal judge refuses to vacate an award from June 2009 arbitration ruling.

By Dan Jamieson
REGULATION AND LEGISLATION MAR 03, 2010
LPL adviser's ads blast 'economic treason' of Wall Street

Adviser Frank Congemi is running radio spots this week lambasting government officials and Wall Street firms for the financial crisis, which he calls the “largest economic crime in history.”

By Bloomberg
REGULATION AND LEGISLATION MAR 03, 2010
Senate bill stirs retirement plan lobby

Financial advisers and service providers working with retirement plans are trying to avert the possibility of coming under greater regulation by an existing or new government agency.

By Jessica Toonkel Marquez
REGULATION AND LEGISLATION MAR 03, 2010
What if Wall Street pay was 'normal'?

Morgan Stanley CEO James Gorman has been put on the hot seat by the company's institutional investors over its compensation policies, according to a report in the Wall Street Journal.

By Evan Cooper
REGULATION AND LEGISLATION MAR 03, 2010
Brokers may dodge fiduciary requirement, consumer groups say

The requirement that brokers who provide advice be regulated as registered investment advisers may be dropped from financial-reform legislation being considered by the Senate Banking Committee, according to consumer groups and state securities regulators.

By Sara Hansard
RETIREMENT PLANNING MAR 03, 2010
Retirement plan groups lobby Congress to allow Roth 401(k) conversions

By Sara Hansard
REGULATION AND LEGISLATION MAR 03, 2010
Departing Dodd's last hurrah: fiduciary standard reform

Senate Banking Committee Chairman Christopher Dodd's decision to retire could allow him to push through proposals to bring brokers under traditional fiduciary standards.

By Sara Hansard
REGULATION AND LEGISLATION MAR 03, 2010
Dodd, Shelby voice optimism on banking regulations

The top Senate Democrat and Republican negotiating new Wall Street regulation said Wednesday they expect to resolve their differences before the end of January, an optimistic outlook for a bill that had seemed mired in partisan conflicts.

By Associated Press
PRACTICE MANAGEMENT MAR 03, 2010
Role of CCOs for mutual funds may be recast

By David Hoffman