Regulation And Legislation

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REGULATION AND LEGISLATION JAN 25, 2010
Suddenly, the Fed is everbody's favorite whipping post

Suddenly the Federal Reserve is everybody's punching bag.

By John Goff
REGULATION AND LEGISLATION JAN 24, 2010
Brown victory in Massachusetts could delay - even derail - financial reforms

The upset election last week in Massachusetts of Scott Brown to the Senate will have a more modest impact on financial services regulatory-reform legislation than on health care reform.

By Sara Hansard
REGULATION AND LEGISLATION JAN 22, 2010
Finra slaps discount broker with triple damages in rare elder-abuse award

In a rarity, an arbitrator last month cited elder abuse in tripling the damages a discount securities firm must pay a 95-year-old client.

By Bruce Kelly
REGULATION AND LEGISLATION JAN 21, 2010
Vanguard's McNabb: Curb on derivatives could smack shareholders

Vanguard CEO McNabb warns against the regulation of futures. For McNLeverage is the real issue, he says

By Jessica Toonkel Marquez
PRACTICE MANAGEMENT JAN 21, 2010
GunnAllen founders jumping to rival broker-dealer in wake of firm's collapse

After watching the fall of GunnAllen Financial Inc. become official this morning, the firm's founders —Donald James “Jay” Gunn and Richard Allen Frueh —are apparently moving to a rival broker-dealer.

By Bruce Kelly
REGULATION AND LEGISLATION JAN 21, 2010
Bankers to blame regulators during testimony: sources

Top bank executives can expect a grilling when they appear before a congressionally appointed panel investigating the causes of the 2008 financial collapse.

By Associated Press
REGULATION AND LEGISLATION JAN 21, 2010
Finra to get tough on Reg D offerings

Finra expects to bring cases against brokerage firms involved in selling private-placement offerings next year, its head of enforcement said last week.

By Sara Hansard
REGULATION AND LEGISLATION JAN 21, 2010
Finra to shell out $1M on lobbying efforts

Finra has opened up its checkbook to lobby Congress for authority over investment advisers.

By Dan Jamieson
REGULATION AND LEGISLATION JAN 20, 2010
Both winners and losers in Dodd's departure?

The news that Sen. Christopher Dodd of Connecticut will not seek re-election this fall is a welcome development for both the nation's most powerful banking regulator, Federal Reserve Chairman Ben Bernanke, and its toughest, Federal Deposit Insurance Corp. Chief Sheila Bair.

By Bloomberg
PRACTICE MANAGEMENT JAN 20, 2010
House passes sweeping financial reform

A year after Wall Street failures plunged the nation into recession, the House on Friday passed the most ambitious restructuring of financial regulation since the New Deal.

By Associated Press
REGULATION AND LEGISLATION JAN 19, 2010
Utah judge tosses suit by former advisers

A Utah judge has thrown out a lawsuit filed by two former financial advisers accusing state regulators of violating their constitutional rights by bringing securities violations against them without proof of wrongdoing.

By Bloomberg
REGULATION AND LEGISLATION JAN 19, 2010
Supreme Court won't review 401(k) suit against Deere, Fidelity

The U.S. Supreme Court today rejected a review of the dismissal of a lawsuit against Deere & Co. and two Fidelity Investments units, claiming unreasonable fees were charged for investment options in Deere's $3.1 billion 401(k) plan.

By Doug Halonen
MUTUAL FUNDS JAN 19, 2010
Actively managed ETFs pique interest of big fund companies

The actively managed exchange-traded-fund market is expected to explode as top mutual fund companies consider entering the business or expand their lineups.

By Jessica Toonkel Marquez
RETIREMENT PLANNING JAN 19, 2010
Controversial 401(k) fee suit gets new life

Almost a year after a court dismissed a complaint against Wal-Mart over its 401(k) plan fees, the 8th U.S. Circuit Court of Appeals has brought the case back into play.

By Jessica Toonkel Marquez
RETIREMENT PLANNING JAN 19, 2010
401(k) advice faces critical test in House

In the next two weeks, members of Congress are expected to decide on the fate of legislation that would have severe implications for every firm that advised 401(k) plan participants, or planned to.

By Jessica Toonkel Marquez
REGULATION AND LEGISLATION JAN 14, 2010
Senate eyes fiduciary tag for all QDIA managers

The Senate Special Committee on Aging is considering proposing legislation that would require all managers of qualified default investment alternatives in defined-contribution plans to act as fiduciaries under ERISA — a move that would place much more stringent requirements on all managers of target date funds, target risk funds and balanced funds.

By Jessica Toonkel Marquez
REGULATION AND LEGISLATION JAN 11, 2010
Two Mass. brokers face complaint over alleged Ponzi scheme

Massachusetts regulators allege two Newton financial advisers and their company connected to a Framingham man's alleged Ponzi scheme have been operating as unregistered brokers.

By Bloomberg
REGULATION AND LEGISLATION JAN 11, 2010
Prosecutors flag L.A. man in alleged Nascar Ponzi scheme

A Los Angeles man has pleaded not guilty to running a Ponzi scheme that cheated about 50 investors in a NASCAR merchandise wholesale business out of at least $10 million.

By Associated Press
PRACTICE MANAGEMENT JAN 11, 2010
Next hot job? Compliance officer at financial firm

People who knew how to make a quick buck held some of the fastest-growing jobs two years ago. Now, the growth industry is in helping financial firms figure out how to follow the rules.

By Associated Press
REGULATION AND LEGISLATION JAN 10, 2010
Finra arbitration cases soar

New arbitrations filed with Finra surged in 2009 to 7,137 cases, up from 4,982 cases in 2008, according to statistics recently released by Finra. That's a 43% gain.

By Darla Mercado