Broker Dealers

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RCAP to close wholesaling REIT division after charges of fraud, declining sales
NEWS ALTERNATIVES SEP 08, 2016
RCAP to close wholesaling REIT division after charges of fraud, declining sales

Company founded by one-time real estate mogul Nicholas Schorsch announces $3 million settlement with Massachusetts Securities Division and said it will lay off nearly 150 employees.

IRS says Finra fines not tax-deductible for broker-dealers
NEWS BROKER DEALERS SEP 06, 2016
IRS says Finra fines not tax-deductible for broker-dealers

The tax code says fines paid to a government "agency or instrumentality" for violation of a law aren't tax-deductible.

After bankruptcy, Cetera Financial Group looking to sell Legend Equities Corp.
NEWS BROKER DEALERS SEP 02, 2016
After bankruptcy, Cetera Financial Group looking to sell Legend Equities Corp.

Cetera CEO Larry Roth says the company is shedding the RCS Capital name, officially putting the Nicholas Schorsch era behind it.

Cetera leadership issue could be settled within days
NEWS BROKER DEALERS SEP 01, 2016
Cetera leadership issue could be settled within days

CEO Larry Roth acknowledges that the company has been looking at senior management structure.

Cetera advisers in the dark after report that CEO Larry Roth will be replaced by chairman Robert Moore
NEWS BROKER DEALERS SEP 01, 2016
Cetera advisers in the dark after report that CEO Larry Roth will be replaced by chairman Robert Moore

The company remains mum about reports that Mr. Roth has been replaced by chairman Robert Moore as CEO. <i>Plus: <a href="//www.investmentnews.com/article/20160815/BLOG09/160819961/key-principles-to-guide-corporate-governance-procedures-for-the-ibd&quot;" target="&quot;_blank&quot;" rel="noopener noreferrer"> Mr. Roth and Mr. Moore discuss the principles they developed for Cetera's board</a></i>

NEWS BROKER DEALERS AUG 30, 2016
Cetera names Robert Moore CEO, replacing Larry Roth

Mr. Moore, Cetera's non-executive chairman, will take over the reins Sept. 12.

Key principles to guide corporate governance procedures for the IBD space
NEWS BROKER DEALERS AUG 26, 2016
Key principles to guide corporate governance procedures for the IBD space

A board of directors should exist to serve the interests of the company and its key stakeholders &amp;mdash; not the other way around.

NEWS BROKER DEALERS AUG 25, 2016
Medical Capital executive gets 10-year sentence for private placement fraud

Joseph J. Lampariello also ordered to pay nearly $40 million in restitution.

NEWS ALTERNATIVES AUG 23, 2016
REIT with a twist and a high commission is new darling of independent brokers-dealers

Preferred Apartment Communities Inc. is selling nontraded preferred shares to help fund its growth, giving brokers a 7% commission.

DOL fiduciary rule sparks LPL to standardize fees on mutual funds: CEO
NEWS BROKER DEALERS AUG 22, 2016
DOL fiduciary rule sparks LPL to standardize fees on mutual funds: CEO

New regulation was catalyst for broker-dealer to impose uniformity, says LPL Financial's Mark Casady.

NEWS BROKER DEALERS AUG 17, 2016
The SEC's case against Dawn J. Bennett

The adviser boycotted her enforcement hearing, but that may not stop the regulator from throwing her out of the securities industry.

NEWS BROKER DEALERS AUG 17, 2016
LPL quit FSI after two sides couldn't agree on membership discount

Lobbying group's chairwoman said its biggest member firm bolted after it couldn't get a break on annual dues for large firms.

Ameriprise spends $11 million-plus this year on DOL fiduciary rule
NEWS BROKER DEALERS AUG 16, 2016
Ameriprise spends $11 million-plus this year on DOL fiduciary rule

The expense speaks to the difficulty broker-dealers are facing to comply with the controversial new regulation.

Larry Roth out as CEO of Cetera?
NEWS BROKER DEALERS AUG 15, 2016
Larry Roth out as CEO of Cetera?

Top five reasons the independent broker-dealer space continues to shrink
NEWS BROKER DEALERS AUG 15, 2016
Top five reasons the independent broker-dealer space continues to shrink

Firms today must do much more in their relationship with advisers to keep them satisfied.

Top Cambridge advisers bolt in wake of private partnership dispute
NEWS BROKER DEALERS AUG 12, 2016
Top Cambridge advisers bolt in wake of private partnership dispute

A side firm has brought a Finra arbitration claim against five of the advisers, who have filed a counterclaim in federal court.

NEWS BROKER DEALERS AUG 11, 2016
Stifel to acquire Indiana underwriter, wealth manager

City Financial Corp., which is being acquired by Stifel, is an independent investment bank focused on wealth management and municipal underwriting in the Midwest.

NEWS BROKER DEALERS AUG 11, 2016
Inside the death of the regional broker-dealer

Many have either been acquired or are trying to become national firms.

NEWS ALTERNATIVES AUG 10, 2016
DOL fiduciary rule's unintended consequence: higher fees for investors

As broker-dealers move toward uniform commissions to comply with Labor Department rule, investors could end up paying higher prices than in an unregulated environment. <b><i>(More: <a href=&quot;http://www.investmentnews.com/section/fiduciary-focus&quot; target=&quot;_blank&quot;>The DOL rule from all angles</a>)</i></b>

Finra fines Cetera $75,000 for records snafu
NEWS BROKER DEALERS AUG 10, 2016
Finra fines Cetera $75,000 for records snafu

Brokerage firm failed to notify customers of changes in their account records as a result of a computer coding error, regulator claims.