Bruce Kelly

A former middle school and high school English teacher, Bruce Kelly started at InvestmentNews in 2000 as the brokerage reporter after a two-year stint at sister publication Pensions & Investments. He writes a bi-weekly, award winning column, On Advice, and covers the independent broker-dealer industry.

Bruce Kelly
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New Hampshire bars former Next Financial broker
INVESTING ALTERNATIVES MAR 14, 2024
New Hampshire bars former Next Financial broker

The broker and Next Financial Group Inc. are on the hook for more than $1 million in penalties.

Finra fines spike 63% in 2023: Report
NEWS BROKER DEALERS MAR 13, 2024
Finra fines spike 63% in 2023: Report

'Last year saw bigger Finra fines per case,' a lawyer says. 'Supersized fines, or those of $1 million or more, were up, and mega-sized fines, or those of $5 million and more, increased too.'

NFL union taps Ameriprise to work with players
NEWS BROKER DEALERS MAR 12, 2024
NFL union taps Ameriprise to work with players

'Something like this puts Ameriprise on the map in the competition among the regional firms and the independent broker-dealers,' one recruiter says.

Former Wells Fargo indie broker is barred by Finra
NEWS BROKER DEALERS MAR 11, 2024
Former Wells Fargo indie broker is barred by Finra

The broker, Jayson Pocius, was 'discharged' last year from Wells Fargo Advisors Financial Network.

Morgan Stanley wealth unit unveils plan to hit growth target
NEWS WIREHOUSES MAR 11, 2024
Morgan Stanley wealth unit unveils plan to hit growth target

Jed Finn begins his reign as head of wealth management by outlining focus on fees, alternatives, and banking.

How much do wirehouse advisors hate selling for the bank?
NEWS BROKER DEALERS MAR 08, 2024
How much do wirehouse advisors hate selling for the bank?

Financial advisors simply can't stand conflicts that mix banking and financial advice.

Commonwealth girding for loss of up to $24M in fight with SEC
NEWS RIAS MAR 07, 2024
Commonwealth girding for loss of up to $24M in fight with SEC

It's highly unusual in the securities industry for a broker-dealer to put up such resistance to a regulator like the SEC.

Mariner Wealth linked to American Century’s rigged hiring scheme
GO RIA COMPLIANCE MAR 06, 2024
Mariner Wealth linked to American Century’s rigged hiring scheme

The companies 'explicitly agreed not to hire or recruit each other’s asset and wealth management professionals,' according to a lawsuit.

RIA M&A bounces back to start 2024: Report
NEWS RIAS MAR 04, 2024
RIA M&A bounces back to start 2024: Report

'Wealth management deals held pretty firm last year compared to all other areas of investment banking,' one banker notes.

Ameriprise bracing for $50 million penalty over messaging
NEWS BROKER DEALERS MAR 01, 2024
Ameriprise bracing for $50 million penalty over messaging

'There's no rhyme or reason regarding how these penalties are determined,' one industry executive says.