Regulation, Legal & Compliance

Displaying 11054 results
INDEPENDENT BROKER DEALERS DEC 01, 2014
FSI warns of 'false positives' under CARDS

IBD organization expresses suitability concerns with regulator's proposed data-collection system and predicts cost of $250,000 to $1 million — with ongoing maintenance above that.

By Mark Schoeff Jr.
FINTECH DEC 01, 2014
Finra expected to adopt CARDS despite vocal industry resistance

Opponents like SIFMA and FSI remain wary of the potential costs, customer data security, but Finra asserts that CARDS will help investors.

By Mark Schoeff Jr.
RETIREMENT PLANNING NOV 26, 2014
Financial planning issues wrapped into government spending bill?

As Congress prepares to vote on funding, the Labor Department's fiduciary duty rule and some pension benefits could be at risk in last-minute deal making.

By Darla Mercado
WIREHOUSES NOV 26, 2014
Wells Fargo settles bonus squabble for $7.4M

Wirehouse settles class action claim the firm wrongly withheld incentive compensation from two former advisers who changed firms.

By Mason Braswell
REGULATION, LEGAL & COMPLIANCE NOV 26, 2014
Borzi taking a back seat on fiduciary

DOL conflicts-rule champion Phyllis Borzi steps back while secretary meets with industry

By Mark Schoeff Jr.
PRACTICE MANAGEMENT NOV 25, 2014
Mutual funds to face new rules from SEC on portfolio holdings

The agency's goal is to ensure funds are liquid enough to meet client redemptions.

By Bloomberg
REGULATION, LEGAL & COMPLIANCE NOV 25, 2014
Commodity Futures Trading Commission teams up with SEC and Finra to combat investor fraud

Federal financial regulators collaborate on consumer <a href="//smartcheck.cftc.gov&quot;" target="&quot;_blank&quot;" rel="noopener noreferrer">website</a> linking resources on advisers and investment products.

By Mark Schoeff Jr.
SEC scrutinizing billionaire hedge fund manager Phil Falcone
ALTERNATIVES NOV 25, 2014
SEC scrutinizing billionaire hedge fund manager Phil Falcone

Harbinger Capital's Phil Falcone is being scrutinized by the SEC for allegedly borrowing client funds to pay taxes and giving preferential treatment to Goldman Sachs

By Doug Cubberley
PRACTICE MANAGEMENT NOV 21, 2014
State regulators name top offerings likely to hurt investors in 2015

NASAA calls binary options, stream-of-income and marijuana schemes emerging investor threats.

By Mark Schoeff Jr.
REGULATION, LEGAL & COMPLIANCE NOV 20, 2014
GAO: Accredited investors should work with advisers

Net worth standard is top criteria but views mixed on whether to raise it.

By Mark Schoeff Jr.
ALTERNATIVES NOV 19, 2014
Fidelity, Pershing, Schwab join suspension of Schorsch REITs

The clearing and custody giants have followed B-Ds by suspending sales of nontraded REITs controlled by Nicholas Schorsch, presenting another potential blow to the real estate czar's business.

By Bruce Kelly
REGULATION, LEGAL & COMPLIANCE NOV 19, 2014
Schwab sues ex-advisers, RIA over “conspiracy”

Firm accuses Tampa, Fla.-based Camelot Wealth Management, formed earlier this year by a former branch manager, of unlawful practices in hiring two former Schwab advisers.

By Mason Braswell
PRACTICE MANAGEMENT NOV 19, 2014
Expungement reform top issue for state regulators this year

Potential changes to the process by which brokers can remove disciplinary information from their online records are under review.

By Mark Schoeff Jr.
REGULATION, LEGAL & COMPLIANCE NOV 19, 2014
Finra kicks out broker-dealer, bars CEO for Ponzi scheme that snared pro athletes

Finra has barred a broker-dealer and its founder for allegedly defrauding a number of current and former NFL and NBA players out of nearly $14 million as part of a Ponzi scheme

By Bruce Kelly
EQUITIES NOV 18, 2014
Financial scams hit a new low via adviser's Ponzi scheme on his mom

Start the week off with <i>Breakfast with Benjamin</i>, featuring an adviser pulling a Ponzi scheme on his own mother. Plus: JPMorgan settles with mineral-rights owners, becoming a 'financial catch,' and using dividend stocks to be like Warren Buffett.

By Jeff Benjamin
PRACTICE MANAGEMENT NOV 18, 2014
Wells Fargo to pay $5 million over broker's insider trading

Firm admits wrongdoing; broker accused of misusing confidential customer information to trade on Burger King acquisition.

By Mason Braswell
REGULATION, LEGAL & COMPLIANCE NOV 18, 2014
House passes SEC budget with amendment preventing fiduciary efforts

Appropriation of $1.4B also falls short of regulator's request to strengthen oversight; separate bill to cover exam costs gains bipartisan support.

By Mark Schoeff Jr.
ALTERNATIVES NOV 17, 2014
Upstart platform attracts advisory firms with access to alts and capital

Trading debt and equity for a distribution relationship may not be right for all advisers.

By Jeff Benjamin
ALTERNATIVES NOV 17, 2014
RCAP confirms regulatory inquiries

SEC, Finra and state securities agencies have been in contact with the Schorsch firm after a $23M <a href=&quot;http://www.investmentnews.com/article/20141029/FREE/141029902/nicholas-schorsch-downplays-arcps-23m-accounting-debacle&quot; target=&quot;_blank&quot;>accounting error was revealed</a> at a sister company. RCAP also confirms Massachusetts investigation.

By Bruce Kelly
ALTERNATIVES NOV 16, 2014
Nicholas Schorsch's RCS Capital could be facing major changes

RCAP may remake itself to boost value with stock down 39% since late October

By Bruce Kelly