Regulation, Legal & Compliance

Displaying 10948 results
REGULATION, LEGAL & COMPLIANCE JUN 28, 2009
We need financial cops - and speed limits

Mary Schapiro, chairman of the Securities and Exchange Commission, is correct: Fiduciary standards for all who give investment advice won't be sufficient to deter fraud.

By MFXFeeder
MUTUAL FUNDS JUN 28, 2009
Target date funds seen as a question of how rather than if

Target date funds are ripe for regulation — a conclusion made abundantly clear at a joint Department of Labor and Securities and Exchange Commission hearing this month dissecting these popular retirement funds.

By Mark Bruno
REGULATION, LEGAL & COMPLIANCE JUN 28, 2009
Advisers, investors call for reinstating uptick rule

Highlighting investor concern about the market effects of short selling, more than 3,000 comments have been filed with the Securities and Exchange Commission on proposed changes to the short-sale rule.

By Sara Hansard
LIFE INSURANCE AND ANNUITIES JUN 28, 2009
Insurance-affiliated brokers face major changes under Obama plan

Broker defections, a loss of market share and spinoffs could be on the horizon for insurance-affiliated broker-dealers if the Obama administration's proposed regulatory reforms force them to act as fiduciaries.

By Darla Mercado
REGULATION, LEGAL & COMPLIANCE JUN 28, 2009
Big fraud cases put focus on disclosure

The Stanford and Madoff fraud cases have put the brokerage industry's disclosure system under the spotlight.

By Dan Jamieson
REGULATION, LEGAL & COMPLIANCE JUN 28, 2009
SEC doesn't need a defibrillator after all

At the beginning of the year, after it missed cues for seemingly everything from the massive Madoff Ponzi scheme to the credit crisis, the Securities and Exchange Commission was being written off as all but dead.

By Sara Hansard
REGULATION, LEGAL & COMPLIANCE JUN 26, 2009
Attempt to blame fair-value accounting for AIG’s woes was misleading, FASB chairman says

Former American International Group Inc. Chairman Martin Sullivan misled Congress last year when he told lawmakers AIG’s financial problems were caused by fair-value accounting standards, the chairman of the Financial Accounting Standards Board said today.

By Bloomberg
EMERGING MARKETS JUN 26, 2009
FSA outlines proposal to ban commissions

The United Kingdom’s Financial Services Authority, in an effort to restore “trust and confidence in the retail-investment market,” has outlined a proposal to ban commission payments by investment management firms.

By Jeff Benjamin
REGULATION, LEGAL & COMPLIANCE JUN 26, 2009
Treasury sets purchase process for bank warrants

After banks make an offer, Treasury will decide whether to make a counteroffer, subject to a private appraisal if the two sides cannot agree on a fair price.

By Bloomberg
REGULATION, LEGAL & COMPLIANCE JUN 25, 2009
Antiguan ex-official arrested in Stanford case

Antigua's former chief financial regulator surrendered Thursday to face U.S. charges that he aided an alleged $7 billion swindle by Texas billionaire R. Allen Stanford, government officials said.

By Bloomberg
LIFE INSURANCE AND ANNUITIES JUN 25, 2009
Texas Insurance Department will try to implement protective provisions of annuity legislation

The Texas Department of Insurance yesterday said that it will try to implement provisions of legislation vetoed last week by Gov. Rick Perry that was designed to protect annuity customers.

By Darla Mercado
REGULATION, LEGAL & COMPLIANCE JUN 24, 2009
Elderly clients convicted of kidnapping, beating adviser

Four Germans, aged 61 to 80, abducted financial adviser, held him hostage in a basement; reportedly upset after losing $3.6M in real estate deals

By Bloomberg
PRACTICE MANAGEMENT JUN 24, 2009
Insurers, banks criticize Obama's proposed consumer watchdog agency

Life insurers and banks bashed the administration’s proposal for a Consumer Financial Protection Agency today at a House Financial Services Committee hearing.

By Sara Hansard
RETIREMENT PLANNING JUN 24, 2009
House committee approves bill restricting 401(k) advice to indie advisers

An influential House committee today approved a comprehensive package of retirement legislation that includes a provision that would permit only independent financial advisers to counsel 401(k) participants on their investment decisions.

By Mark Bruno
MUTUAL FUNDS JUN 24, 2009
SEC to change regulations to prevent runs on money market funds

The Securities and Exchange Commission today voted unanimously to propose rule changes for the $3.8 trillion money market mutual fund industry — including new liquidity requirements to prevent runs on such funds.

By Sue Asci
LIFE INSURANCE AND ANNUITIES JUN 23, 2009
Insurance settlement trade group hails Maine’s disclosure law

The Life Insurance Settlement Association today applauded new legislation in Maine which requires that insurance customers be apprised of their rights to sell their policies on the secondary market.

By Bloomberg
REGULATION, LEGAL & COMPLIANCE JUN 23, 2009
Madoff lawyer seeks 12-year sentence for client

The 71-year-old Madoff faces up to 150 years in prison after pleading guilty on March 12 to 11 felony counts including securities fraud and perjury.

By Bloomberg
LIFE INSURANCE AND ANNUITIES JUN 23, 2009
Tax break sought for non-qualified lifetime annuities

By Darla Mercado
RETIREMENT PLANNING JUN 22, 2009
Lawmakers plan push to reform 401(k) plans

A pair of key lawmakers are expected to introduce a bill on retirement reform later this week that could have substantial implications for investment advisers, 401(k) service providers and the majority of employer-sponsored retirement plans.

By Mark Bruno
REGULATION, LEGAL & COMPLIANCE JUN 21, 2009
Directors' role at center of "say on pay' debate

The long-running debate over “say on pay” is heating up in Washington, with a group representing executives saying that the proposal undermines the role of directors while an investors' group counters that it makes boards more accountable to shareholders.

By Bloomberg