Regulation, Legal & Compliance

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LA switching banks due to protest movement — but at a cost
REGULATION, LEGAL & COMPLIANCE OCT 13, 2011
LA switching banks due to protest movement — but at a cost

Price of debt servicing will climb considerably after city council sides with Occupy Los Angeles

By John Goff
REGULATION, LEGAL & COMPLIANCE OCT 13, 2011
Rajaratnam likely to do his time with Madoff, Rigas, and Ponzi artist Israel

It appears that convicted hedge fund manager Raj Rajaratnam will be sent to a penal facility known as the 'crown jewel of the federal prison system.' Certainly, the roster of inmates at the prison reads like a Who's Who of financial criminals, including Bernie Madoff, Ponzi artist Samuel Israel, and Adelphia's John Rigas. | <b>Extra</b> <a href=http://www.investmentnews.com/apps/pbcs.dll/gallery?Site=CI&amp;Date=20111013&amp;Category=FREE&amp;ArtNo=101309997&amp;Ref=PH>Which investment bigs sympathize with Occupy Wall Street -- and which don't?</a>

By John Goff
Finra yanks controversial rules
REGULATION, LEGAL & COMPLIANCE OCT 13, 2011
Finra yanks controversial rules

In a little-noticed but surprising move, the Financial Industry Regulatory Authority Inc. last week withdrew a controversial proposal to revamp its supervisory rules that would have, among other things, required supervision of nonsecurities-related businesses.

By Dan Jamieson
REGULATION, LEGAL & COMPLIANCE OCT 13, 2011
SRO battle intensifies; will independents have a separate regulator?

The latest scrum over how to boost oversight of financial advisers suggests that independent advisers may have to accept an entirely new self-regulator if they want to avoid coming under Finra's jurisdiction

By Liz Skinner
Missed Dodd-Frank deadlines pile up on eve of anniversary
REGULATION, LEGAL & COMPLIANCE OCT 13, 2011
Missed Dodd-Frank deadlines pile up on eve of anniversary

By Mark Schoeff Jr.
REGULATION, LEGAL & COMPLIANCE OCT 13, 2011
Dodd-Frank: As a rule, the going has been slow

More so than most other legislation, the 849-page Dodd-Frank Wall Street Reform and Consumer Protection Act reached the president's desk on July 21, 2010, as a work in progress.

By Mark Schoeff Jr.
REGULATION, LEGAL & COMPLIANCE OCT 13, 2011
Land of the fee: Advisers seen switching revenue model ahead of fiduciary rewrite

By Mark Schoeff Jr.
REGULATION, LEGAL & COMPLIANCE OCT 12, 2011
Sham life settlement firm financed 'extravagant lifestyle': SEC

Regulator claims outfit never bought single life settlement policy but sold debentures using the firm's name

By Bloomberg
LIFE INSURANCE AND ANNUITIES OCT 12, 2011
Iowa to shed light on sources of insurance funding

In a move that could affect the sales of securities and insurance in the state, Iowa's insurance regulator this week is expected to issue guidance on how far insurance agents and brokers can go in advising clients on the suitable sources of funds for insurance products

By Darla Mercado
LIFE INSURANCE AND ANNUITIES OCT 12, 2011
Annuity exam overload could prompt product pruning

Annuity exam overload, including extra training, could prompt some advisers to limit customer choice.

By Darla Mercado
House votes to kill 3% withholding tax on government contractors
REGULATION, LEGAL & COMPLIANCE OCT 11, 2011
House votes to kill 3% withholding tax on government contractors

Bill should be good news for FAs who work with state and federal agencies; FSI lauds passage

By Mark Schoeff Jr.
Bill to cap cap gains rate may hit Senate turbulence
RETIREMENT PLANNING OCT 11, 2011
Bill to cap cap gains rate may hit Senate turbulence

Sponsors of legislation that would limit on the federal levy on investment income at 15% are confident of strong support in the House. The Senate is another matter, however.

By Mark Schoeff Jr.
Finra proposal could aid broker class actions
REGULATION, LEGAL & COMPLIANCE OCT 11, 2011
Finra proposal could aid broker class actions

The regulator wants to ban from its arbitration forums so called &#8220;collective action&#8221; claims brought under the Fair Labor Standards Act or the Age Discrimination in Employment Act.

By Dan Jamieson
Dodd-Frank panel's delays create financial 'guessing game'
REGULATION, LEGAL & COMPLIANCE OCT 11, 2011
Dodd-Frank panel's delays create financial 'guessing game'

A team of regulators charged with preventing another financial crisis is fending off criticism it's moving too slowly to identify the firms whose failure could pose a threat to the economy.

By Doug Cubberley
ICI to regulators: When knocking ETFs, please be specific
ETFS OCT 11, 2011
ICI to regulators: When knocking ETFs, please be specific

The Institute is worried that a recent report about synthetic ETFs actually tarred all exchange-traded funds. That, in turn, led to 'inflammatory media coverage.'

By Jessica Toonkel
Court orders Wells Fargo to pay up in failed raiding claim
REGULATION, LEGAL & COMPLIANCE OCT 09, 2011
Court orders Wells Fargo to pay up in failed raiding claim

A California appeals court has ordered Wells Fargo Advisors LLC to pay $915,000 in legal fees to Stifel Nicolaus &amp; Co. Inc. and a Stifel broker.

By Dan Jamieson
SEC claims author used $26M Ponzi scheme to repay prior fraud victims
REGULATION, LEGAL & COMPLIANCE OCT 07, 2011
SEC claims author used $26M Ponzi scheme to repay prior fraud victims

A New York man who wrote a self-help book after pleading guilty to fraud more than a decade ago stands accused of running a $26 million Ponzi scheme to pay back victims of his earlier fraud.

By Doug Cubberley
Investment manager who allegedly promised 180% returns charged with scam
REGULATION, LEGAL & COMPLIANCE OCT 07, 2011
Investment manager who allegedly promised 180% returns charged with scam

The Commodity Futures Trading Commission today slapped a Miami man with fraud charges and other allegations, claiming that he ran a phony $3 million commodity pool.

By Darla Mercado
LIFE INSURANCE AND ANNUITIES OCT 07, 2011
Agent in church insurance flap: Parishioners were told to lie to Aviva

Aviva Life &amp; Annuity Co. this month amended its lawsuit against six insurance agents in an alleged charity-owned life insurance scheme, claiming that the parishioners of a Los Angeles church were coached to lie to the insurer about the source of premiums for their coverage

By Darla Mercado
Merrill advisers rebuffed on bias suit
REGULATION, LEGAL & COMPLIANCE OCT 05, 2011
Merrill advisers rebuffed on bias suit

The justices today turned away an appeal by 17 current and former company financial advisers who sought to press a class action race-discrimination suit against Merrill Lynch.

By Doug Cubberley