Regulation And Legislation

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NAFA files second lawsuit against DOL fiduciary rule
NEWS RETIREMENT PLANNING JUN 08, 2016
NAFA files second lawsuit against DOL fiduciary rule

The National Association for Fixed Annuities levies similar arguments to the initial suit, filed just one day earlier.

Lawsuit against DOL fiduciary rule seen as 'weak' by some observers
NEWS RETIREMENT PLANNING JUN 08, 2016
Lawsuit against DOL fiduciary rule seen as 'weak' by some observers

Although the Labor Department doesn't have enforcement authority over IRAs, it does have interpretive authority, observers say.

NEWS FINTECH JUN 07, 2016
How software can help smooth the transition to fiduciary-rule compliance

If a firm's transition to the Best Interest Contract Exemption is done using paper contracts and disclosure forms, it could be costly, difficult and risky to manage.

Finra orders Oppenheimer & Co. to pay $2.9M for unsuitable sales of nontraditional ETFs
NEWS PRACTICE MANAGEMENT JUN 07, 2016
Finra orders Oppenheimer & Co. to pay $2.9M for unsuitable sales of nontraditional ETFs

More than 30,000 non-traditional ETF transactions, totaling approximately $1.7 billion, were carried out by Oppenheimer representatives, according to the regulator.

Senators Elizabeth Warren and Mike Lee introduce bill to help graduate students save for retirement
NEWS RETIREMENT PLANNING JUN 06, 2016
Senators Elizabeth Warren and Mike Lee introduce bill to help graduate students save for retirement

Bipartisan legislation would make it possible for students to save funds from stipends or fellowships in an IRA.

Lawsuit could force delay to DOL fiduciary rule implementation
NEWS REGULATION AND LEGISLATION JUN 06, 2016
Lawsuit could force delay to DOL fiduciary rule implementation

Experts weigh plaintiffs' likely arguments versus Labor Department's legal standing and odds in court.

Two sides of the DOL fiduciary rule's 'Best Interest Contract Exemption' advisers must understand
NEWS RETIREMENT PLANNING JUN 06, 2016
Two sides of the DOL fiduciary rule's 'Best Interest Contract Exemption' advisers must understand

There are two different versions in the exemption, each with respective limitations and benefits that advisers and their institutions must master.

NEWS PRACTICE MANAGEMENT JUN 06, 2016
DOL official: Agency will consider changes to fiduciary rule if problems arise

Deputy assistant secretary Tim Hauser said the Labor Department has room to adjust the rule if problems arise.

Reinforcing the culture of compliance, industry-wide
NEWS PRACTICE MANAGEMENT JUN 06, 2016
Reinforcing the culture of compliance, industry-wide

By taking five steps, firms and their advisers can make sure they have addressed the corporate culture indicators on Finra's radar.

NEWS REGULATION AND LEGISLATION JUN 06, 2016
The Fiduciary Journey

NEWS BROKER DEALERS JUN 06, 2016
Weeding out rogue brokers

If the industry was really serious about getting rid of rogue brokers, it would do more both individually and through Finra.

Wall St. critic Warren grills Finra's Ketchum on regulator's ability to protect investors
NEWS PRACTICE MANAGEMENT JUN 06, 2016
Wall St. critic Warren grills Finra's Ketchum on regulator's ability to protect investors

The U.S. senator raised doubts on Thursday about whether the financial industry can police itself.

Investors need to get smarter about their money post-DOL fiduciary rule: panel
NEWS REGULATION AND LEGISLATION JUN 03, 2016
Investors need to get smarter about their money post-DOL fiduciary rule: panel

Finra's BrokerCheck link mandate for adviser websites effective today
NEWS PRACTICE MANAGEMENT JUN 03, 2016
Finra's BrokerCheck link mandate for adviser websites effective today

Advisers and firms must clearly reference and link to regulator's search tool on their websites.

Fidelity 401(k) lawsuit could up ante for plan advisers
NEWS RETIREMENT PLANNING JUN 03, 2016
Fidelity 401(k) lawsuit could up ante for plan advisers

Advisers need to scrutinize any sort of markup on a platform they're recommending, making sure it is reasonable.

Perez, Norquist and others react to anti-DOL fiduciary rule lawsuit
NEWS REGULATION AND LEGISLATION JUN 03, 2016
Perez, Norquist and others react to anti-DOL fiduciary rule lawsuit

Groups for and against the rule sound off on the latest development in the DOL's attempt to create a fiduciary standard for retirement advice.

Finra fines Raymond James a record $17 million for failures in anti-money laundering program
NEWS PRACTICE MANAGEMENT JUN 03, 2016
Finra fines Raymond James a record $17 million for failures in anti-money laundering program

The penalty is the regulator's largest ever relating to anti-money laundering compliance.

Nine groups file lawsuit to strike down 'capricious' DOL fiduciary rule
NEWS REGULATION AND LEGISLATION JUN 02, 2016
Nine groups file lawsuit to strike down 'capricious' DOL fiduciary rule

The U.S. Chamber of Commerce, SIFMA, FSI, IRI, the Financial Services Roundtable and several Texas business groups joined a lawsuit to block the Labor Department's landmark fiduciary regulation. <b><i>(Related read: <a href=&quot;http://www.investmentnews.com/section/fiduciary-focus&quot; target=&quot;_blank&quot;>The DOL fiduciary rule from all angles</a>)</i></b>

Lawsuit against DOL fiduciary rule could delay implementation indefinitely
NEWS REGULATION AND LEGISLATION JUN 02, 2016
Lawsuit against DOL fiduciary rule could delay implementation indefinitely

The lawsuit may push the rule to the next presidential administration, which could ultimately kill the rule.

Digital advice is poised to become the apple of asset managers' eyes
NEWS FINTECH JUN 02, 2016
Digital advice is poised to become the apple of asset managers' eyes

DOL's rule accelerates an opportunity for these firms to wrap products into advice-driven online platforms.