Regulation, Legal & Compliance

Displaying 10948 results
Bogle calls on institutional money managers to heed fiduciary duty
REGULATION, LEGAL & COMPLIANCE SEP 11, 2012
Bogle calls on institutional money managers to heed fiduciary duty

Investment advisers at large mutual fund companies and other financial institutions often operate with conflicts of interest, John Bogle, founder and former chief executive of The Vanguard Group Inc., told Securities and Exchange Commission Chairman Mary Schapiro on Tuesday.

By Mark Schoeff Jr.
REGULATION, LEGAL & COMPLIANCE SEP 11, 2012
NASAA head bashes idea of SRO - in Finra's backyard

By Mark Schoeff Jr.
RETIREMENT PLANNING SEP 10, 2012
Romney, Ryan continue to dance around tax plan details

GOP presidential nominee Mitt Romney and his running mate, Wisconsin Rep. Paul Ryan, seem determined to avoid talking about details of their tax plan during the fall campaign, creating a vacuum that their opponents are happy to fill with attacks and that retirement-savings advocates can fill with worry. Retirement-savings tax deferrals also could be on the chopping block to pay for the GOP ticket's goal of reducing tax rates across-the-board.

By Mark Schoeff Jr.
REGULATION, LEGAL & COMPLIANCE SEP 10, 2012
Bogle, Levitt, Volcker look to get fiduciary rule back on track

By Mark Schoeff Jr.
FIXED INCOME SEP 09, 2012
Maneuvering through the muni-market minefield

By MFXFeeder
REGULATION, LEGAL & COMPLIANCE SEP 09, 2012
Training firm boss misappropriated exam questions: Finra

By DJAMIESON
Tougher Dodd-Frank fiduciary standard for brokers runs aground
REGULATION, LEGAL & COMPLIANCE SEP 07, 2012
Tougher Dodd-Frank fiduciary standard for brokers runs aground

SEC scheduled to meet this week with advocates including Bogle

By Bloomberg
Bogle, Volcker look to get fiduciary rule back on track
REGULATION, LEGAL & COMPLIANCE SEP 07, 2012
Bogle, Volcker look to get fiduciary rule back on track

Signing declaration supporting universal standard of care

By Mark Schoeff Jr.
REGULATION, LEGAL & COMPLIANCE SEP 07, 2012
Drip...drip...dr: Slow going on fiduciary duty, adviser oversight

By Mark Schoeff Jr.
REGULATION, LEGAL & COMPLIANCE SEP 05, 2012
Adviser with national radio show misled prospective clients, SEC says

Regulator claims "Buckets of Money" strategy not backtested

By Liz Skinner
REGULATION, LEGAL & COMPLIANCE SEP 05, 2012
Training firm boss 'misappropriated' exam questions: Finra

Finra claims a consultant's employees took tests to help prep clients on what would be asked in later exams.

By DJAMIESON
REGULATION, LEGAL & COMPLIANCE SEP 02, 2012
Expungement ruling could have wide impact

By DJAMIESON
REGULATION, LEGAL & COMPLIANCE SEP 02, 2012
SEC: Adviser stuck clients with losses

By Liz Skinner
WIREHOUSES SEP 02, 2012
Finra fighting expungement granted by its own panel

By DJAMIESON
REGULATION, LEGAL & COMPLIANCE AUG 31, 2012
Brokers churned accounts and lost $2.7 million for clients, SEC says

Three former brokers at an Atlanta investment firm churned client accounts and racked up $845,000 in commissions and fees for themselves and the brokerage while those customers lost $2.7 million, regulators said.

By Liz Skinner
In re, BrokerCheck: SIFMA urges Finra to expand 'in re expungement
REGULATION, LEGAL & COMPLIANCE AUG 31, 2012
In re, BrokerCheck: SIFMA urges Finra to expand 'in re expungement

Association wants to make it easier for brokers to clean up their official records

By DJAMIESON
RETIREMENT PLANNING AUG 29, 2012
DIY Social Security? Even GOP has given up

By AOSTERLAND
REGULATION, LEGAL & COMPLIANCE AUG 29, 2012
SEC to vote on controversial Reg D proposal

By DJAMIESON
REGULATION, LEGAL & COMPLIANCE AUG 29, 2012
B-D auditors overlook accounting lapses

By Mark Schoeff Jr.
SEC finally backs public advertising for private placements
REGULATION, LEGAL & COMPLIANCE AUG 27, 2012
SEC finally backs public advertising for private placements

But commission murky on verification of 'accredited investors'; comment period caused friction

By DJAMIESON