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LIFE INSURANCE AND ANNUITIES JUN 26, 2007
New York Life names new president

New York Life Insurance Co. said on today that its COO, Theodore Mathas, would add president to his title as of July 1.

LIFE INSURANCE AND ANNUITIES JUN 26, 2007
Hancock pays $21.2M to settle inquiry

John Hancock will pay $21.2 million to settle an investigation of the firm's failure to disclose revenue sharing schemes.

BROKER DEALERS JUN 26, 2007
KKR said to seek B-D license

Looking toward an initial public offering, Kohlberg Kravis Roberts is seeking a securities broker-dealer license, TheDeal.com said.

LIFE INSURANCE AND ANNUITIES JUN 26, 2007
AXA names VP of funds group

AXA Equitable Life Insurance Co. has named Kenneth T. Kozlowski vice president of its Funds Management group.

WIREHOUSES JUN 25, 2007
Wachovia retention deals may not keep brokers

Wachovia Securities LLC may face challenges in retaining all the brokers it wants to, in the wake of its announced merger with A.G. Edwards Inc. of St. Louis.

LIFE INSURANCE AND ANNUITIES JUN 25, 2007
BofA says it took hit in Parmalat crash

Bank of America said it lost about $450 million from the bankruptcy of Parmalat after relying on "fraudulent misrepresentations" made by the Italian dairy company.

LIFE INSURANCE AND ANNUITIES JUN 25, 2007
ABA and ACB to merge

Two powerful bank trade groups today announced plans for a merger.

LIFE INSURANCE AND ANNUITIES JUN 25, 2007
SEC eyes VA funds of funds

The SEC is looking at possible problems involving revenue sharing payments made by funds of funds.

LIFE INSURANCE AND ANNUITIES JUN 25, 2007
VAs trail funds in sales growth at the banks

Bank sales of variable annuities that invest in mutual funds continue to grow but are outpaced consistently by those of mutual funds. That’s a function of periodic adverse publicity combined with compliance hassles, observers say.

WIREHOUSES JUN 25, 2007
Brookstreet scion joins Wedbush

In an attempt to save a semblance of his family’s broker-dealer, Scott Brooks, scion of the founder of Brookstreet Securities Corp., last Thursday jumped to Wedbush Morgan Securities Inc. and then immediately invited Brookstreet’s 500 affiliated representatives to join him.

WIREHOUSES JUN 25, 2007
Schwab, in about-face, is back with tech partner

In an about-face, Schwab Institutional has reconciled with a former technology partner in an effort to upgrade its customer relationship management tool for financial advisers.

OPINION JUN 25, 2007
Investment banks need better oversight

INDUSTRY NEWS JUN 25, 2007
Think entertainment when picking summer stocks

WASHINGTON — Summer is about beaches, barbecues and long rounds of golf. But even sun lovers must come indoors eventually, and one fund manager is betting that many will be spending the hazy days of summer in front of their Nintendo Wiis and Sony PlayStation 3s.

BROKER DEALERS JUN 25, 2007
Banned brokers fly under radar screen

In a comfortable Colonial-era tavern in Rhode Island last Tuesday, David L. Ullom dished out generous portions of retirement advice — along with a free meal of chicken, mashed potatoes and summer squash.

INDUSTRY NEWS JUN 25, 2007
Suit threatens tax incentives for 529 plans

The college savings plan industry is closely tracking a class action filed in Illinois last month that could help open the legal floodgates for states that use tax incentives to induce residents to invest in their own Section 529 programs.

BROKER DEALERS JUN 25, 2007
Advisers react to changes at Jackson National network

NEW YORK — Recent changes in management at independent-contractor broker-dealer National Planning Corp. and National Planning Holdings Inc., its broker-dealer network, have some of its affiliated advisers concerned, while others accept the changes as part of the business.

REGULATION AND LEGISLATION JUN 25, 2007
Bernanke gets high marks despite economy’s hiccups

SAN FRANCISCO — The U.S. economy has some shaky elements, but Federal Reserve Board Chairman Ben S. Bernanke’s track record still is rock solid, according to financial advisers, chief economists and other executives in the investments industry.

REGULATION AND LEGISLATION JUN 25, 2007
Canada to weigh single regulator, existing alternatives

OTTAWA — In a confusing compromise, federal Finance Minister Jim Flaherty and his peers from the provinces and territories agreed last Tuesday that the feds would set up a panel to study the creation of a single Canadian securities regulator.

MUTUAL FUNDS JUN 25, 2007
Make 12(b)-1 fee disclosures more discernible

WASHINGTON — Disclosures of 12(b)-1 fees should be made clearer and easier to decipher, but the fees themselves should not be abolished, officials from the mutual fund and brokerage industries said at a Securities and Exchange Commission round table last week.

RETIREMENT PLANNING JUN 25, 2007
Social Security adds adviser info to site

NEW YORK — After receiving suggestions from financial professionals, the Social Security Administration has designated a section of its website specifically for advisers.