Regulation, Legal & Compliance

Displaying 11054 results
PRACTICE MANAGEMENT JUN 30, 2014
J.P. Morgan Securities goes on recruiting offensive

Firm signs on to broker protocol as it moves to make sure its name is more prominent in the eyes of top advisers.

By Mason Braswell
REGULATION, LEGAL & COMPLIANCE JUN 30, 2014
New SEC investor advocate says he has investor-protection genes

NASAA's Rick A. Fleming says he's the man for the job, to flag retail investor concerns.

By Mark Schoeff Jr.
PRACTICE MANAGEMENT JUN 27, 2014
Brokers unable to escape their past

As Finra looks to make BrokerCheck more visible, youthful indiscretions come back to haunt some advisers.

By Mason Braswell
PRACTICE MANAGEMENT JUN 27, 2014
Boston firm charged in real estate investment fraud

Regulator says $5 million of investor money lost in tenancy-in-common deals, $9 million siphoned off by principals

By Bloomberg
EQUITIES JUN 27, 2014
World stock markets get nervous as Iraq melts down

Plus: Deutsche Bank shows its hand with World Cup bets, Wall Street fines are a cash cow for the Treasury Dept., navigating Social Security before you retire, and eating at home gets pricey in a hurry.

By Jeff Benjamin
FINTECH JUN 27, 2014
FSI gives revised Finra BrokerCheck link rule the thumbs down

In a new comment letter, the industry group contends that the rule would create undue regulatory costs.

By Mark Schoeff Jr.
PRACTICE MANAGEMENT JUN 26, 2014
Finra's broker bonus disclosure rule pulled

Finra has withdrawn its controversial proposal that would have required brokers to tell clients about recruitment incentives. The move took industry watchers by surprise; some expect the regulator to float a new proposal.

By Mason Braswell
EQUITIES JUN 26, 2014
New inflation data could drive the Fed into hawkish mode

On the <i>Breakfast with Benjamin</i> menu: Inflation data could turn doves into hawks. Plus: Oil could get a lot pricier in a hurry, insider trading runs rampant and SIFMA cuts its economic outlook.

By Jeff Benjamin
PRACTICE MANAGEMENT JUN 25, 2014
Finra trims operating loss but compensation costs climb

Finra trimmed its operating loss last year, helped by a modest increase in revenue, but compensation and benefit costs continued to eat up a chunk of the SRO's funds. After eking out a slight net income gain, Finra set a rebate to member firms.

By Mark Schoeff Jr.
PRACTICE MANAGEMENT JUN 25, 2014
Ex-Raymond James adviser barred over $3 million Ponzi

Finra kicks out a former Raymond James broker who allegedly stole $3 million from 13 clients. Mason Braswell reports.

By Mason Braswell
Adviser's Ponzi scheme fed wife's baby boutique, SEC says
REGULATION, LEGAL & COMPLIANCE JUN 25, 2014
Adviser's Ponzi scheme fed wife's baby boutique, SEC says

SEC accuses adviser Neal Goyal of $11.4 million Ponzi scheme.

By Lynne Marek
REGULATION, LEGAL & COMPLIANCE JUN 25, 2014
RIAs should be forced to hire outside examiners: Gallagher

Afraid of another Madoff scandal, SEC commissioner Daniel Gallagher says RIAs should be forced to hire outside examiners. <i><a href=&quot;http://www.investmentnews.com/article/20140519/FREE/140519914&quot;>Plus: More from Finra's annual conference</a></i>

By Mark Schoeff Jr.
REGULATION, LEGAL & COMPLIANCE JUN 24, 2014
Finra fee hike not a terrible idea

By MFXFeeder
PRACTICE MANAGEMENT JUN 24, 2014
House panel denies SEC additional funding for RIA exams

As in the past, budget is short of what agency says it needs to increase oversight of advisers.

By Mark Schoeff Jr.
REGULATION, LEGAL & COMPLIANCE JUN 24, 2014
TD Ameritrade, Schwab put third-party exams on lawmakers' radar

Without outright endorsing the idea, executives say outside contractors should be considered as a way to increase oversight of RIAs.

By Mark Schoeff Jr.
REGULATION, LEGAL & COMPLIANCE JUN 24, 2014
SEC homing in on alternatives, Commonwealth CCO says

Live from the FSI OneVoice Broker-Dealer Conference: Exams do 'deep dive' on sale of products such as nontraded REITs, Commonwealth's Tolley says. <b><i> <a href=&quot;http://www.investmentnews.com/section/video?playerType=Events&amp;bctid=3117749314001&amp;date=20140128&quot;>Check out a video interview with Dale Brown, where the organization's president and CEO offers his Finra wish list.</a> </b></i>

By Bruce Kelly
REGULATION, LEGAL & COMPLIANCE JUN 24, 2014
PIABA seeks more Capitol Hill influence in 2014

Lawyers plan to lobby Congress to curb mandatory arbitration and regulators' readiness to clear brokers' names.

By Mark Schoeff Jr.
Warning: This regulator eats what it kills
PRACTICE MANAGEMENT JUN 23, 2014
Warning: This regulator eats what it kills

At Finra, fines are less than 10% of the annual budget but make no mistake, they are important, says Mark Elzweig.

By Mark Elzweig
REGULATION, LEGAL & COMPLIANCE JUN 23, 2014
Finra seeks to tighten investor dispute rules

New proposed rule would prevent people with industry experience from becoming &#8220;public arbitrator.&#8221;

By Mark Schoeff Jr.
RETIREMENT PLANNING JUN 23, 2014
Ways and Means to vote on extending deduction for IRA charitable contributions

One of several tax extenders the committee will take up Thursday.

By Mark Schoeff Jr.