Regulation And Legislation

Displaying 10378 results
Money managers with in-house 401(k) plan options at risk of employee lawsuits: lawyers
NEWS REGULATION AND LEGISLATION AUG 04, 2016
Money managers with in-house 401(k) plan options at risk of employee lawsuits: lawyers

There already have been several suits over high fees, and a second front may be emerging over plan options.

NEWS BROKER DEALERS AUG 04, 2016
MetLife penalty puts spotlight on bad variable annuity switches

Bad VA switches were supposed to be a thing of the past, but the independent broker-dealer industry should take heed of this fine.

RIAs must mind details when it comes to advertising
NEWS RIAS AUG 03, 2016
RIAs must mind details when it comes to advertising

Failure to follow the applicable rules can turn into a public enforcement action.

Finra wants to up annual gift limit to $175
NEWS PRACTICE MANAGEMENT AUG 03, 2016
Finra wants to up annual gift limit to $175

Regulator seeking common-sense changes to gift and non-cash comp rules for members.

Trouble looms for small RIAs in next bear market
NEWS RIAS AUG 03, 2016
Trouble looms for small RIAs in next bear market

Firms reluctant to sell now may struggle later to find a merger partner to survive.

Already sizzling market for advisory firms could be stoked by DOL fiduciary rule
NEWS REGULATION AND LEGISLATION AUG 03, 2016
Already sizzling market for advisory firms could be stoked by DOL fiduciary rule

Deal flow and complexity on the rise when it comes to sales of adviser businesses.

NEWS EQUITIES AUG 02, 2016
Reading between the lines of Friday's jobs report

Plus: Brexit bust, SEC nabs doc for insider trading, and double your retirement savings

Brokerage groups' higher spending on lobbying doesn't kill DOL fiduciary rule
NEWS REGULATION AND LEGISLATION AUG 02, 2016
Brokerage groups' higher spending on lobbying doesn't kill DOL fiduciary rule

Despite heavily outspending investment adviser groups on lobbying lawmakers in the second quarter, industry trade associations didn't succeed in a key goal.

Dawn J. Bennett barred from industry; ordered to pay $4 million in fines, disgorgement
NEWS PRACTICE MANAGEMENT AUG 02, 2016
Dawn J. Bennett barred from industry; ordered to pay $4 million in fines, disgorgement

SEC ruling includes a civil penalty of $600,000 for Ms. Bennett and $2.9 million for Bennett Group.

Top adviser questions on DOL fiduciary rule answered
NEWS REGULATION AND LEGISLATION AUG 01, 2016
Top adviser questions on DOL fiduciary rule answered

Here are the main points of confusion among Fidelity's many adviser clients, and some insights that might help guide their strategy.

Key fiduciary decisions loom for retirement plan advisers using money market funds
NEWS RETIREMENT PLANNING AUG 01, 2016
Key fiduciary decisions loom for retirement plan advisers using money market funds

Once-plain-vanilla funds due for a serious makeover, meaning now is the time to carefully assess cash options.

NEWS FINTECH AUG 01, 2016
How financial advisory firms can practice emergency preparedness

Advisers should test their emergency plans periodically to make sure they are in compliance with Securities and Exchange Commission rules.

DOL fiduciary rule's 'grandfathering' exemption may be lost by changing firms
NEWS RETIREMENT PLANNING JUL 29, 2016
DOL fiduciary rule's 'grandfathering' exemption may be lost by changing firms

Regulatory experts say there's a strong likelihood advisers would lose the grandfathering exemption granted under the fiduciary measure simply by switching firms.

With Indiana Gov. Pence on ticket, advisers need to be careful with donations
NEWS PRACTICE MANAGEMENT JUL 29, 2016
With Indiana Gov. Pence on ticket, advisers need to be careful with donations

Under the SEC, pay-to-play rules kick in for RIAs who contribute to a candidate for office who could influence the selection of an adviser for state accounts.

LPL's earnings bounce back, but commission revenue continues to erode
NEWS REGULATION AND LEGISLATION JUL 28, 2016
LPL's earnings bounce back, but commission revenue continues to erode

First-quarter profit nearly double what the company posted in the previous quarter.

NEWS PRACTICE MANAGEMENT JUL 27, 2016
Adviser relief follows judge's injunction of overtime pay rule

Labor Department's regulation will not take effect Dec. 1.

NEWS BROKER DEALERS JUL 27, 2016
Securities America to pay $1.5 million for mutual fund overcharges

The independent broker-dealer is paying restitution for failing to waive sales charges for some retirement plans and charitable organizations, according to Finra.

NEWS RIAS JUL 27, 2016
Radio show host Ric Edelman rants about raging fiduciary battle

Lawsuits filed against the Labor Department's regulation expose conflicts in financial advice.

Congressional sit-in disrupted by failed attempt to override veto of anti-DOL fiduciary rule bill
NEWS RETIREMENT PLANNING JUL 27, 2016
Congressional sit-in disrupted by failed attempt to override veto of anti-DOL fiduciary rule bill

Attempt to override the presidential veto of an anti-DOL fiduciary rule bill was used to interrupt a protest demanding action on gun-control legislation.

LPL, Cambridge and others in 'serious' talks to buy Foothill Securities
NEWS BROKER DEALERS JUL 27, 2016
LPL, Cambridge and others in 'serious' talks to buy Foothill Securities

The adviser-owned independent broker-dealer is in “serious discussions” to be acquired by a larger firm, with LPL, Cambridge, and others as potential suitors.