Regulation, Legal & Compliance

Displaying 10946 results
T shares are dead
MUTUAL FUNDS DEC 20, 2018
T shares are dead

The death of the DOL fiduciary rule condemned the mutual fund share class to extinction.

By Greg Iacurci
SEC exams to focus on investor fees, adviser conflicts of interest in 2019
PRACTICE MANAGEMENT DEC 20, 2018
SEC exams to focus on investor fees, adviser conflicts of interest in 2019

Agency intends to emphasize protection of Main Street investors.

By Mark Schoeff Jr.
SEC slaps Ancora Advisers with $100,000 fine for pay-to-play violations
REGULATION, LEGAL & COMPLIANCE DEC 19, 2018
SEC slaps Ancora Advisers with $100,000 fine for pay-to-play violations

Ancora Advisors made political contributions and then provided adviser services to public agencies.

By Bruce Kelly
William Galvin hits MetLife with $1 million fine for failing to keep track of pensioners
LIFE INSURANCE AND ANNUITIES DEC 19, 2018
William Galvin hits MetLife with $1 million fine for failing to keep track of pensioners

Massachusetts says insurance firm must pay retirees and beneficiaries who were 'presumed dead'

By Mark Schoeff Jr.
SEC's latest on fiduciary: Advisers can customize individual client agreements
REGULATION, LEGAL & COMPLIANCE DEC 19, 2018
SEC's latest on fiduciary: Advisers can customize individual client agreements

Disclosure and informed consent can limit services, allow third-party pay.

By Mark Schoeff Jr.
Wall Street could be facing fewer fines in 2019 as lone SEC Democrat leaves
REGULATION, LEGAL & COMPLIANCE DEC 19, 2018
Wall Street could be facing fewer fines in 2019 as lone SEC Democrat leaves

By Bloomberg
New bill links 401(k) matches to student loan payments
RETIREMENT PLANNING DEC 19, 2018
New bill links 401(k) matches to student loan payments

The legislation 'has legs' given that retirement policy debates will be front and center in Congress next year.

By Greg Iacurci
Retirement savings legislation dies in lame-duck Congress
RETIREMENT PLANNING DEC 19, 2018
Retirement savings legislation dies in lame-duck Congress

Proponents hope bill will be re-introduced early next year.

By Mark Schoeff Jr.
SEC charges business journalist, 12 others who sold Woodbridge Ponzi
REGULATION, LEGAL & COMPLIANCE DEC 19, 2018
SEC charges business journalist, 12 others who sold Woodbridge Ponzi

The 13 additional unregistered brokers sold more than $350 million of the Ponzi's notes

By Bruce Kelly
SEC, Finra investigating GPB fund raising: sources
ALTERNATIVES DEC 18, 2018
SEC, Finra investigating GPB fund raising: sources

Regulators are making inquiries into GPB and the broker-dealers that sold their fund shares, according to sources.

By Bruce Kelly
How advisers can help 401(k) plans manage the risk of missing participants
RETIREMENT PLANNING DEC 18, 2018
How advisers can help 401(k) plans manage the risk of missing participants

The DOL hasn't issued concrete guidance on the issue, but there are hints on how to avoid trouble.

By Fred Reish
Husband of UBS banker sued by SEC for insider trading
REGULATION, LEGAL & COMPLIANCE DEC 18, 2018
Husband of UBS banker sued by SEC for insider trading

Peter Cho traded derivatives after eavesdropping on conversations about an upcoming deal.

By Bloomberg
UBS sues Ohio National over lost variable annuity commissions
LIFE INSURANCE AND ANNUITIES DEC 17, 2018
UBS sues Ohio National over lost variable annuity commissions

Wirehouse joins handful of other firms seeking to prevent insurer from cutting off flow of adviser trails.

By Greg Iacurci
UBS hit with $15 million in fines, penalties for AML problems
WIREHOUSES DEC 17, 2018
UBS hit with $15 million in fines, penalties for AML problems

Securities and banking regulators are continuing to focus on anti-money laundering procedures and policies.

By Bruce Kelly
Oregon will help other states launch own auto-IRA programs
RETIREMENT PLANNING DEC 17, 2018
Oregon will help other states launch own auto-IRA programs

States looking for potential partnerships to increase retirement-plan coverage

By Greg Iacurci
Why Laurie Nardone Chose Independence
RETIREMENT PLANNING DEC 17, 2018
Why Laurie Nardone Chose Independence

Learn how an advisor made the transition to independence with an abundance of resources and guidance before, during and after the move.

By Gillian Albert
Finra fines Merrill $300,000 for failing to supervise rogue broker
WIREHOUSES DEC 14, 2018
Finra fines Merrill $300,000 for failing to supervise rogue broker

The ghost of Eva Weinberg's actions continue to haunt the wirehouse

By Jeff Benjamin
New York adviser pleads guilty to $11.5 million Ponzi scheme
REGULATION, LEGAL & COMPLIANCE DEC 14, 2018
New York adviser pleads guilty to $11.5 million Ponzi scheme

Hector May, 77, president of Executive Compensation Planners Inc., defrauded 15 clients with the help of his daughter.

By Greg Iacurci
Top 3 planning moves for advisers under new tax law
REGULATION, LEGAL & COMPLIANCE DEC 13, 2018
Top 3 planning moves for advisers under new tax law

Strategies around charitable giving and business structures appear to be most prevalent as a result of the new regime.

By Greg Iacurci
RIA in a Box has new compliance tool to help RIAs with audits
FINTECH DEC 13, 2018
RIA in a Box has new compliance tool to help RIAs with audits

To keep up with evolving regulatory requirements at the state and federal levels, Finra sees "regtech" tools like RIA in a Box becoming more popular.

By Ryan W. Neal