Regulation, Legal & Compliance

Displaying 10948 results
PRACTICE MANAGEMENT JUN 13, 2014
Brokers' test failures raise red flag

Analysis finds brokers who fail basic securities exams have more dings on BrokerCheck.

By Mason Braswell
INDEPENDENT BROKER DEALERS JUN 13, 2014
J.P. Turner gussies up for Schorsch

Independent B-D spends $8.8 million to resolve litigation prior to acquisition by RCS Capital.

By Bruce Kelly
RETIREMENT PLANNING JUN 13, 2014
Galvin's scrutiny of 401(k) matches misfires

The Massachusetts Securities Division, led by William Galvin, targeted many of the wrong firms in questioning 401(k) record keepers about employers moving to an annual match instead of contributing each pay period.

By James Comtois
PRACTICE MANAGEMENT JUN 12, 2014
Forget fines, regulators want public scoldings

Fines for bad actions are yesterday's news; today, sanctions come with acknowledgment of guilt and potential for personal liability and loss.

By Joe Duran
INDEPENDENT BROKER DEALERS JUN 12, 2014
Financial industry groups oppose adding exam scores to BrokerCheck

Both SIFMA and FSI cautious about Finra proposal to strengthen its database.

By Mark Schoeff Jr.
INDEPENDENT BROKER DEALERS JUN 12, 2014
BrokerCheckmate: Finra marks wave big red flag

Bruce Kelly reports about Meyers Associates, a small New York broker-dealer with five times the industry average of registered reps with marks, or 'disclosure events' on their record.

By Bruce Kelly
LIFE INSURANCE AND ANNUITIES JUN 12, 2014
Health exchanges prompt new conversations with clients

As deadline for federal insurance looms, advisers report mixed results

By Darla Mercado
PRACTICE MANAGEMENT JUN 11, 2014
Broker pay reform would benefit investors, financial analysts say

Link compensation to investment outcomes, majority of CFA holders say in survey.

By Trevor Hunnicutt
ALTERNATIVES JUN 11, 2014
Tommy Belesis' hedge fund associate sues SEC

Houston radio host George Jarkesy charges the regulator denied him due process in a fraud case.

By Joyce Hanson
EQUITIES JUN 10, 2014
Oil spikes to a three-month high as Iraq's stability crumbles

<i>Breakfast with Benjamin:</i>Oil spikes as Iraq's stability crumbles. Plus: Hedge funds bristle at Obama's latest executive order, the significance of the Dow at 17,000, how active managers are helping index investors, and quantitative analysis is being applied to golf scores.

By Jeff Benjamin
REGULATION, LEGAL & COMPLIANCE JUN 10, 2014
Ex-Dynasty client closes B-D, RIA after SEC actions

An adviser who became a client of Dynasty in 2012 has faced two separate series of actions in the past year, most recently a Wells notice from the SEC's California office. Bruce Kelly has the story.

By Bruce Kelly
EQUITIES JUN 08, 2014
Investors rush to safety in gold as Iraq falls

What's for <i>Breakfast with Benjamin</i>? The Iraq crisis hits another asset but in a good way. Plus: Oil spikes to nine-month high, a looming student loan crisis, how Goldman cashed out early on Alibaba, and a tribute to dads.

By Jeff Benjamin
REGULATION, LEGAL & COMPLIANCE JUN 06, 2014
Advisers forecast Republican resurgence in November elections

FSI poll also finds most have no plans to retire or sell their practices in the near future.

By Bloomberg
RETIREMENT PLANNING JUN 06, 2014
Fixed annuity sales receiving added scrutiny from Finra

By Darla Mercado
REGULATION, LEGAL & COMPLIANCE JUN 06, 2014
Mary Jo White defies political meddling in first year at SEC

Mary Jo White took over the Securities and Exchange Commission with a back-to-basics plan to toughen enforcement and clear a backlog of regulations aimed at the last financial crisis.

By Matt Ackermann
PRACTICE MANAGEMENT JUN 06, 2014
Overtime pay for advisers?

President Obama's proposal to alter overtime pay rules reignites a debate over who should be compensated for extra hours. Should advisers be compensated for hours worked outside the traditional work week?

By Mason Braswell
ALTERNATIVES JUN 05, 2014
KBS REIT II to offer dividend upon sale of Chicago office building

Firm to offer another way besides public listing for REIT sponsors to provide liquidity to investors.

By Bruce Kelly
WIREHOUSES JUN 05, 2014
Brokerage industry sounds off about Finra broker compensation proposal

Comment letters show independent B-Ds want no part of it, while wirehouses are all for it.

By Darla Mercado
PRACTICE MANAGEMENT JUN 04, 2014
Citigroup reaches $7 billion mortgage bond settlement

Joins JPMorgan Chase in settling charges it misrepresenting the quality of mortgage-backed bonds sold to investors as housing prices plummeted.

By Bloomberg
PRACTICE MANAGEMENT JUN 04, 2014
SEC weakness allowing investment adviser violations to slip through the cracks

Commissioner Daniel Gallagher says adviser stats likely equal to registered rep stats from Finra.

By Mark Schoeff Jr.