Regulation And Legislation

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LIFE INSURANCE AND ANNUITIES JUN 14, 2009
Changing regulations mean EIA compliance challenges

As new annuity rules continue to develop, chief compliance officers at broker-dealers say that they still face some challenges in implementing compliance procedures with their financial advisers.

By Darla Mercado
RETIREMENT PLANNING JUN 14, 2009
Health reform debate overlooks long term care, Tom Daschle says

As Congress takes up health care reform, too little attention is being paid to long term care.

By Sara Hansard
RIA NEWS JUN 14, 2009
Two cheers for automatic IRA enrollment

Something must be done to encourage employees of small companies to save for retirement. As many as 78 million such workers aren't saving for the future and ultimately will depend solely on Social Security for retirement income.

By MFXFeeder
REGULATION AND LEGISLATION JUN 14, 2009
Former chief executive sues First Allied

Keith Gregg, former president and chief executive of First Allied Securities Inc. of San Diego, is suing the firm, claiming that he was forced out after complaining about improper practices at the company. Officials at the firm deny the charges and were set to answer the complaint and file a counterclaim against him today.

By Dan Jamieson
REGULATION AND LEGISLATION JUN 14, 2009
Outlook dim for adviser SRO in financial-reform proposal

The Obama administration's sweeping proposal to tighten financial regulation is unlikely to press for the formation of a self-regulatory organization to oversee investment advisers.

By Sara Hansard
REGULATION AND LEGISLATION JUN 11, 2009
Geithner calls for SEC authority over say-on-pay

The proposal would allow the SEC to issue rules requiring companies to give shareholders more say in executive compensation.

By Bloomberg
REGULATION AND LEGISLATION JUN 11, 2009
Woodbury Financial settles with regulators over adviser background checks

As part of a settlement last month with securities regulators in Arizona, Woodbury Financial Services Inc. agreed to tighten its policy of looking into the financial backgrounds of their 1,750 reps and advisers.

By Bruce Kelly
REGULATION AND LEGISLATION JUN 10, 2009
Leave exec compensation to boards, not lawmakers, SIFMA says

Executive compensation should decided by company boards, not imposed by legislators or regulators,

By Sara Hansard
REGULATION AND LEGISLATION JUN 09, 2009
Korean-American investors allegedly bilked of $80M in affinity fraud

Two California men and the companies they ran were charged today with conducting an $80 million Ponzi scheme that targeted Korean-American investors with false promises of annual returns of up to 36% from foreign currency trading,

By Sara Hansard
REGULATION AND LEGISLATION JUN 09, 2009
Judge consolidates Madoff liquidation cases

Separate efforts to sell the businesses and personal property of disgraced financier Bernard Madoff have been combined to speed the process and get more of the proceeds to those he cheated.

By Bloomberg
REGULATION AND LEGISLATION JUN 08, 2009
Finra’s Ketchum touts one standard for financial advisers

The difference in regulatory oversight for broker-dealers and investment advisers leaves consumers open to risks, Richard Ketchum, chief executive of the Financial Industry Regulatory Authority Inc., said today.

By Bloomberg
REGULATION AND LEGISLATION JUN 08, 2009
Finra chief: Proposed oversight commission could cause cracks in system

The Obama administration’s consideration of a safety commission for financial products needs to be approached with great care, Richard Ketchum, chief executive of the Financial Industry Regulatory Authority Inc., said today at NAVA’s annual legislative and regulatory conference.

By Darla Mercado
REGULATION AND LEGISLATION JUN 07, 2009
Estate tax critics gird for fight over business valuations

Opponents of the estate tax are preparing to fight a push in Congress to require that minority-held interests in private companies be valued the same as majority-held interests for estate tax purposes.

By Sara Hansard
REGULATION AND LEGISLATION JUN 07, 2009
Finra may boost enforcement actions in 2009

Finra may have given broker-dealers and registered representatives a reprieve of sorts last year as the amount in fines and enforcement actions it levied against firms plummeted.

By Bruce Kelly
REGULATION AND LEGISLATION JUN 07, 2009
Woodbury to pry into the finances of reps, spouses

Independent registered representatives and their spouses soon could face unprecedented scrutiny into their personal finances.

By Bruce Kelly
REGULATION AND LEGISLATION JUN 04, 2009
IRS to seek more regulation of tax preparers

The IRS is working on new rules that could require paid tax preparers to be licensed to improve tax compliance and reduce fraud, IRS Commissioner Doug Shulman announced today.

By Bloomberg
REGULATION AND LEGISLATION JUN 02, 2009
Carbon emissions bill should prompt new evaluation of companies as investments, study says

If proposed cap-and-trade legislation aimed at restricting corporate carbon emissions is passed, advisers and investors will have to re-evaluate companies on an individual basis, as the real-money effects of this law would vary dramatically from firm to firm, according a new research report.

By Jeff Benjamin
LIFE INSURANCE AND ANNUITIES MAY 31, 2009
Insurance Information Act of 2009, NARAB II likely to face uphill battle in Senate

Two bills that would transform the way insurance agents are licensed and regulated are likely to face a difficult time in the Senate, according to insurance industry officials.

By Sara Hansard
REGULATION AND LEGISLATION MAY 31, 2009
Smith Barney charges broker breached a contract

Smith Barney is not letting at least one of its brokers break away without a fight.

By Mark Bruno
REGULATION AND LEGISLATION MAY 31, 2009
Financial advisers give suggestions for surviving an SEC audit in the post-Madoff era

The following edited transcript is from &#8220;Surviving an SEC audit after Madoff,&#8221; an </i>InvestmentNews<i> webcast held May 19

By MFXFeeder