Regulation, Legal & Compliance

Displaying 11054 results
DOL extends period for grousing about 'fiduciary' definition
LIFE INSURANCE AND ANNUITIES MAR 28, 2011
DOL extends period for grousing about 'fiduciary' definition

Department pushes back deadline for comments by 15 days

By Darla Mercado
REGULATION, LEGAL & COMPLIANCE MAR 28, 2011
DOL, industry spar over fund lineups

The Labor Department and representatives from service providers and pension advocacy groups sparred last week about whether presenting a retirement plan with a fund lineup constitutes investment advice

By Darla Mercado
REGULATION, LEGAL & COMPLIANCE MAR 28, 2011
Watchdog agency seen steering clear of investment advisers

The new consumer protection agency won't extend its jurisdiction to areas involving investment advisers or insurance agents, according to a Treasury Department official involved with setting it up

By Mark Schoeff Jr.
SEC charges radio personality with fraud
REGULATION, LEGAL & COMPLIANCE MAR 27, 2011
SEC charges radio personality with fraud

The Securities and Exchange Commission on Friday slapped an adviser and radio personality know as “The MoneyMan” with fraud charges after his firm encouraged clients to invest in promissory notes linked to a company with which he associated.

By Darla Mercado
REGULATION, LEGAL & COMPLIANCE MAR 27, 2011
Time to put real teeth on accredited-investor rules

It is time for the Securities and Exchange Commission to set an even more rigorous net-worth standard for “accredited” investors than the requirements set forth in the Dodd-Frank financial reform law

By MFXFeeder
REGULATION, LEGAL & COMPLIANCE MAR 25, 2011
SEC: We haven't forgotten about 12(b)-1 fees

Commissioner Walter says the regulator will start work in July on capping the marketing fee. This may not sit well with brokers or mutal fund providers.

By John Goff
Basel-like regs for money markets? It could happen
MUTUAL FUNDS MAR 25, 2011
Basel-like regs for money markets? It could happen

SEC eyes requiring such funds to establish 'NAV buffer'; idea would trump ICI's plan for liquidity bank

By Jessica Toonkel
Let the lobbying begin! Industry groups target Capitol Hill in fiduciary clash
REGULATION, LEGAL & COMPLIANCE MAR 25, 2011
Let the lobbying begin! Industry groups target Capitol Hill in fiduciary clash

B-D and advisory groups look to a) speed up, or b) slow down adoption of single standard of care

By Mark Schoeff Jr.
REGULATION, LEGAL & COMPLIANCE MAR 25, 2011
Finra wants ADV-like form for brokers

Plain-English disclosure document would describe services, conflicts and limitations on duties

By Dan Jamieson
New Form ADV-2 adding costs, confusion for advisers
PRACTICE MANAGEMENT MAR 25, 2011
New Form ADV-2 adding costs, confusion for advisers

A new rule aimed at making the financial advisory business more understandable to clients is giving advisers a headache.

By Lisa Shidler
REGULATION, LEGAL & COMPLIANCE MAR 25, 2011
SEC monitor: Only 'slam-dunk' enforcement cases were encouraged

Securities and Exchange Commission officials tried to assure Congress last week that the SEC's examination and enforcement divisions are working together more effectively to catch and prosecute rogue advisers such as Robert Allen Stanford, who allegedly bilked clients out of $8 billion.

By Mark Schoeff Jr.
FINTECH MAR 25, 2011
Free Form ADV Part 2 template available to advisers

By Davis Janowski
REGULATION, LEGAL & COMPLIANCE MAR 24, 2011
After beating, Stanford one step closer to getting out of jail

Persuades judge in civil trial to move him from prison cell to house arrest; 'wreck of a man'

By Bloomberg
REGULATION, LEGAL & COMPLIANCE MAR 23, 2011
Fund manager admits to adviser fraud, Ponzi scheme

Francisco Illarramendi, a hedge fund manager in Connecticut, pleaded guilty to fraud and two other men were charged with conspiracy in a U.S. probe of an alleged Ponzi scheme with potential investor and creditor losses of hundreds of millions of dollars, prosecutors said.

By Mark Bruno
Regulators blast decision to halt state cases against Securities America
REGULATION, LEGAL & COMPLIANCE MAR 22, 2011
Regulators blast decision to halt state cases against Securities America

NASAA says ruling will have chilling effect on securities enforcement

By Bruce Kelly
REGULATION, LEGAL & COMPLIANCE MAR 21, 2011
Regulators warn about yen scams

Events in Japan have fraudsters pulling increasing number of Forex scams

By Liz Skinner
SEC should step up scrutiny of Finra: Report
REGULATION, LEGAL & COMPLIANCE MAR 21, 2011
SEC should step up scrutiny of Finra: Report

This may come as no surprise to reps, but a report released this week said the Commission needs to dramatically beef up its oversight of Finra.

By Dan Jamieson
<h1>SEC punts on SRO for advisers</h1>
REGULATION, LEGAL & COMPLIANCE MAR 21, 2011
<h1>SEC punts on SRO for advisers</h1>

The SEC finally released its much-trumpeted report on the best way to oversee the advisory industry. And in the end, the commission couldn't agree on a single course of action. <a href=http://www.investmentnews.com/article/20110116/REG/301169998> (Watch INTV for views on the fiduciary standard and creation of an SRO.)</a>

By Mark Schoeff Jr.
RETIREMENT PLANNING MAR 20, 2011
GAO skewers lending by plans

The Senate Special Committee on Aging and the Government Accountability Office have called upon the Labor Department to give employers guidance on securities-lending activities that are taking place within retirement plans

By Darla Mercado
REGULATION, LEGAL & COMPLIANCE MAR 20, 2011
'Friend' of Ned is convicted of mail fraud

A Rhode Island man was convicted last week of mail fraud and money laundering after creating a fictitious friendship with Fidelity Investments chairman Edward &#8220;Ned&#8221; Johnson III as a way to bilk investors

By Jessica Toonkel