Regulation, Legal & Compliance

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SEC blocks Chinese IPO filings until risks are better disclosed
REGULATION, LEGAL & COMPLIANCE JUL 30, 2021
SEC blocks Chinese IPO filings until risks are better disclosed

Gensler says he's asked agency staff to seek additional disclosures from Chinese firms before signing off on their registration statements to sell shares.

By Bloomberg
Biden's nominee to head EBSA reflects aggressive rulemaking agenda
RETIREMENT PLANNING JUL 29, 2021
Biden's nominee to head EBSA reflects aggressive rulemaking agenda

Lisa Gomez's career is rooted in ERISA, and her keen understanding of the law would help the DOL as it seeks to implement new rules, lawyers said.

By Emile Hallez
Empower Retirement sues Empower Geographics over web domain
RETIREMENT PLANNING JUL 29, 2021
Empower Retirement sues Empower Geographics over web domain

The rights to the use of the empower.com domain are at the heart of the suit, which was filed in federal court in Illinois.

By InvestmentNews
Pennsylvania RIA sentenced to 63 months for fraud
REGULATION, LEGAL & COMPLIANCE JUL 29, 2021
Pennsylvania RIA sentenced to 63 months for fraud

SEC previously charged George Heckler with fleecing $20 million from investors in a decade-long fraud.

By InvestmentNews
Congress urged to act on numerous retirement system changes
RETIREMENT PLANNING JUL 28, 2021
Congress urged to act on numerous retirement system changes

In a hearing before the Senate Finance Committee, witnesses urged lawmakers to include changes such as mandatory coverage, student loan provisions and emergency savings in whatever legislative package materializes, such as the SECURE 2.0 bills in the House and Senate.

By Emile Hallez
Robinhood under investigation by Finra ahead of IPO
FINTECH JUL 28, 2021
Robinhood under investigation by Finra ahead of IPO

Robinhood, whose IPO is slated for Thursday, disclosed in a filing that Finra is seeking registration information about its personnel, including the non-registration status of CEO Tenev and co-founder Bhatt.

By Nicole Casperson
CFP Board proposes tougher penalties for hiding misconduct
PRACTICE MANAGEMENT JUL 28, 2021
CFP Board proposes tougher penalties for hiding misconduct

The proposals would impose public censure for CFPs who fail to self-report ethical problems. The guidelines are the first recommendations to come from the Commission on Sanctions and Fitness, which was established earlier this year.

By Mark Schoeff Jr.
Britney Spears' struggle for independence puts a spotlight on conservatorships
RETIREMENT PLANNING JUL 28, 2021
Britney Spears' struggle for independence puts a spotlight on conservatorships

The pop superstar's plea to end her 13-year conservatorship raises questions around its validity and prompts experts to rethink the whole system.

By Nicole Casperson
Gensler says SEC will propose climate risk rules by year-end
REGULATION, LEGAL & COMPLIANCE JUL 28, 2021
Gensler says SEC will propose climate risk rules by year-end

The SEC chairman signals that the disclosures about the risks corporations face from climate change may appear in the mandatory filings public companies make to the agency.

By Bloomberg
Coalition calls for retirement security task force
RETIREMENT PLANNING JUL 28, 2021
Coalition calls for retirement security task force

Key retirement industry groups urge President Biden to put in place a coordinated federal approach to the crisis.

By Mary Beth Franklin
FBI, SEC warn public about fake brokers and advisers
REGULATION, LEGAL & COMPLIANCE JUL 27, 2021
FBI, SEC warn public about fake brokers and advisers

In an investor alert, the agencies point out four tactics that fraudsters use to trick investors, such as spoofed websites and fake profiles on social media platforms.

By InvestmentNews
PRO Act opponents target new bill that could curtail independent advisers
PRACTICE MANAGEMENT JUL 27, 2021
PRO Act opponents target new bill that could curtail independent advisers

The bill, drafted by Senate Finance Committee Chair Ron Wyden, D-Ore., is aimed at reforming the unemployment compensation system, and could restrict use of the independent contractor classification. However, the proposed legislation lacks bipartisan support.

By Mark Schoeff Jr.
SEC fines 27 firms in first-ever Form CRS actions
PRACTICE MANAGEMENT JUL 26, 2021
SEC fines 27 firms in first-ever Form CRS actions

The agency charged 21 investment advisers and six brokerages with missing delivery or posting deadlines. The customer relationship summary outlines fees, services and potential conflicts of interest and is supposed to help clients understand business practices.

By Mark Schoeff Jr.
House panel to vote on increasing family office oversight
REGULATION, LEGAL & COMPLIANCE JUL 26, 2021
House panel to vote on increasing family office oversight

The legislation, written by Rep. Alexandria Ocasio-Cortez, D-N.Y., would require family offices with more than $750 million in AUM to register with SEC.

By Mark Schoeff Jr.
Senate Democrats introduce bill providing 401(k), IRA match
RETIREMENT PLANNING JUL 26, 2021
Senate Democrats introduce bill providing 401(k), IRA match

The existing nonrefundable saver's credit would become a $1,000-a-year matching contribution from the government.

By InvestmentNews
By casting a wide net, Finra hinders diversity
PRACTICE MANAGEMENT JUL 26, 2021
By casting a wide net, Finra hinders diversity

Should something that happened when applicants were teenagers still be held against them?

By InvestmentNews
The fight to #freeBritney is a step toward reform
RETIREMENT PLANNING JUL 23, 2021
The fight to #freeBritney is a step toward reform

It’s not clear how many people may be suffering from the legal restraints that were supposed to protect them.

By InvestmentNews
Trade groups step up fight against bill they say threatens independent advisers
REGULATION, LEGAL & COMPLIANCE JUL 23, 2021
Trade groups step up fight against bill they say threatens independent advisers

Opponents contend the measure, known as the PRO Act, could negate independent-contractor agreements between advisers and financial firms.

By Mark Schoeff Jr.
Finra CEO wants to extend remote branch office inspections into 2022
PRACTICE MANAGEMENT JUL 22, 2021
Finra CEO wants to extend remote branch office inspections into 2022

Temporary relief from onsite examinations, which began at the start of the pandemic, is set to expire in December.

By Mark Schoeff Jr.
Fed's GPB investigation puts spotlight on spending
INDEPENDENT BROKER DEALERS JUL 22, 2021
Fed's GPB investigation puts spotlight on spending

The mention of GPB auditors in a court filing highlights earlier allegations of executives using clients' money for their own personal benefit. Focused on independent broker-dealers, GPB was a leading seller of high-risk private placements in the past decade.

By Bruce Kelly