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After almost a decade of fighting, the SEC and Ray Lucia finally settle
The 'Buckets of Money' adviser can apply to work in the securities industry again
Labor Department gathers information on how retirement plans use ESG funds
The agency is likely collecting data to shape a proposed rule on investment selection
401(k) suit against Neuberger Berman’s plan committee settled for $17M
The investment manager's plan included a poorly performing, high-fee product, the plaintiff alleged
Fed purchases reshape market for bond ETFs
Cash is flooding into fixed-income ETFs at a record pace and interest in betting against both high-grade and junk funds has dissolved
Morgan Stanley sued for racial bias by former diversity head
Marilyn Booker, the firm's first global head of diversity, says it refused to adopt her plan to address racial bias
SEC chairman emphasizes Reg BI protections on rollovers, complex product sales
Pandemic conditions make acting in clients’ interests even more important, Jay Clayton says
Fed to begin buying corporate bonds
The Secondary Market Corporate Credit Facility is one of nine emergency lending programs the Fed has announced since mid-March
Ex-Raymond James broker faces criminal charges for defrauding elderly customers
The SEC filed a parallel civil complaint against Frederick M. Stow for stealing nearly $1 million
Auto-IRA bill awaits governor’s signature in Colorado
It will become the latest state to move forward with a retirement savings program for private-sector workers
401(k) lawsuits keep piling up
At least four lawsuits involving plans with more than $1 billion have been filed over the past few weeks
Just 2 states require their investment advisers to file Form CRS
Rhode Island, Oklahoma advisers join SEC-registered advisers in meeting June 30 deadline
SEC tees up virtual meet-ups for fintechs
The regulator is encouraging innovators to reach out with specific questions or to discuss general issues
Finra bars former J.P. Morgan bank rep for stealing
David Austin took $144,000 from three customers for his personal use
SagePoint censured and fined $300,000 over UITs
Finra says the Advisor Group unit failed to supervise early rollovers of unit investment trusts
Fed chairman predicts slow recovery for jobs market
Powell plays down the May jobs gain and suggests it will take years to get U.S. employment back to its pre-pandemic level
SEC approves Finra rule setting minimum fee for expungement requests
New floor of about $8,300 is meant to end the ‘$1 trick’ for brokers seeking quick clearing of records
Few use CARES Act to tap retirement savings
Even though plan sponsors are offering easy access to retirement accounts, few workers have taken advantage of that
Rising rates may lead to Fed yield-curve control, Gundlach says
DoubleLine executive's comments come as the spread between 5- and 30-year Treasury yields hits its steepest level since 2016
Why living-room lobbying may be here to stay
The pandemic has pushed trade associations to virtual meetings to make their case with lawmakers
What an RIA should think about if it’s considering disclosing a PPP loan
Examining the Securities and Exchange Commission's response to a question on this topic can provide some guidance