Regulation, Legal & Compliance

Displaying 10947 results
SEC reaches $3.6 million settlement with Voya over securities lending
LIFE INSURANCE AND ANNUITIES MAR 08, 2018
SEC reaches $3.6 million settlement with Voya over securities lending

Voya wrongly recalled securities it had loaned out to mutual fund clients early in order to give a tax benefit to its insurance affiliates.

By Mark Schoeff Jr.
RETIREMENT PLANNING MAR 08, 2018
Senate bill aims to boost 401(k) annuities, small-employer retirement plans

The bill is nearly identical to one that unanimously passed the Senate Finance Committee in 2016.

By Greg Iacurci
REGULATION, LEGAL & COMPLIANCE MAR 07, 2018
Finra panel awards $404,482 to client after broker overdoes put options

Investor alleges Allegis and former broker Brandon Curt Stimpson put him in unsuitable investments, violated fiduciary duty and engaged in unauthorized trading.

By Mark Schoeff Jr.
REGULATION, LEGAL & COMPLIANCE MAR 07, 2018
Tax law: How to get the pass-through deduction by reducing taxable income

Advisers are only eligible for the full 20% deduction if their income is less than $157,000 for singles and $315,000 for married couples.

By Greg Iacurci
REGULATION, LEGAL & COMPLIANCE MAR 07, 2018
Finra unpaid arbitration increased in 2017, PIABA report finds

Lawyers group calls on broker regulator to set up fund to compensate investors.

By Mark Schoeff Jr.
REGULATION, LEGAL & COMPLIANCE MAR 07, 2018
Finra bars Madison Avenue rep fired after arbitration

No-show at hearing on outside deals leads to action against repeat offender David Barber.

By InvestmentNews
REGULATION, LEGAL & COMPLIANCE MAR 06, 2018
Sen. Warren introduces bill targeting unpaid Finra arbitration awards

Legislation directs the regulator to use fines to establish a pool of money to cover shortfalls.

By Mark Schoeff Jr.
RETIREMENT PLANNING MAR 06, 2018
How to design a 401(k) plan that's lawsuit-proof

High fees are a red flag, but prudence is the ultimate key to defeating a claim, according to advisers and attorneys.

By Greg Iacurci
REGULATION, LEGAL & COMPLIANCE MAR 05, 2018
Wall Street doesn't get much relief in Dodd-Frank reboot

The Senate bill seems intent on not helping the giant financial institutions that fueled populist anger in the lead-up to the 2008 financial crisis.

By Bloomberg
REGULATION, LEGAL & COMPLIANCE MAR 05, 2018
Fidelity sues former rep, Merrill Lynch for soliciting clients

Fidelity claims Christopher Corcoran's conduct threatens approximately 200 Fidelity client households, representing more than $528 million in client assets.

By InvestmentNews
REGULATION, LEGAL & COMPLIANCE MAR 05, 2018
Merrill Lynch tries to avoid arbitration in dozens of cases with former executives

About 60 former wirehouse staff claim they lost about $400 million when their Merrill stock dropped in 2007-08 due to the firm's exposure to mortgage-backed securities.

By Mark Schoeff Jr.
REGULATION, LEGAL & COMPLIANCE MAR 05, 2018
Finra bars former Morgan Stanley broker accused of accepting loans from clients

Michael Ralby declined to take part in the investigation, leading to the regulator's action.

By InvestmentNews
RETIREMENT PLANNING MAR 02, 2018
Warren, Daines bill would help establish a database for orphaned 401(k) accounts

National database would allow workers to check for forgotten 401(k) money after a job change.

By Mark Schoeff Jr.
RETIREMENT PLANNING MAR 01, 2018
Georgetown sued for allegedly violating fiduciary duties in its 403(b) plans

Plan participants claim 'inefficient and costly' system.

By Robert Steyer
REGULATION, LEGAL & COMPLIANCE MAR 01, 2018
Finra orders Citi to pay $4 million in wrongful dismissal case

Broker Christian S. Gherardi of Miami had sought $16.5 million in damages.

By InvestmentNews
RETIREMENT PLANNING MAR 01, 2018
Massachusetts finds MetLife 'missing' pensioners, Galvin says

Two months after the insurer provided the names of those owed pension payments, the state has located the majority of them.

By InvestmentNews
REGULATION, LEGAL & COMPLIANCE FEB 28, 2018
Finra restitutions more than doubled in 2017, disciplinary actions study finds

Eversheds Sutherland says regulator imposed fourth highest total sanctions over past decade

By InvestmentNews
REGULATION, LEGAL & COMPLIANCE FEB 28, 2018
Finra bars former Stephens broker for no-show at hearing

Regulator investigating withdrawals from bank account of ex-rep Norris Roberts Jr.

By InvestmentNews
REGULATION, LEGAL & COMPLIANCE FEB 28, 2018
Appeals court orders fiduciary breach case vs. Transamerica to be dismissed

The three-judge panel reversed a ruling by a U.S. District Court judge in Los Angeles.

By Robert Steyer
PRACTICE MANAGEMENT FEB 28, 2018
Finra releases proposal to relieve broker-dealers of supervision of unaffiliated RIAs

Comment period ends April 27.

By Mark Schoeff Jr.