Regulation And Legislation

Displaying 10378 results
NEWS REGULATION AND LEGISLATION SEP 02, 2015
Finra arbitration panel orders UBS to pay for damages over Puerto Rico bond losses

Finra arbitration panel ruled in favor of three investors who claimed their accounts were over-concentrated in the bonds.

Pension giant CalSTRS ponders dumping $20B in stocks and bonds in favor of alt strategies
NEWS EQUITIES SEP 02, 2015
Pension giant CalSTRS ponders dumping $20B in stocks and bonds in favor of alt strategies

<i>Breakfast with Benjamin</i>: CalSTRS, the country's second-largest pension fund, considers moving $20 billion out of traditional investments and into alternatives.

UBS agrees to settle hedge fund's lawsuit over asset-backed securities
NEWS REGULATION AND LEGISLATION SEP 01, 2015
UBS agrees to settle hedge fund's lawsuit over asset-backed securities

Pursuit Partners sued the wirehouse in 2008, accusing it of selling it $40.5 million of collateralized debt obligations that some of the bank's employees referred to as &#8220;vomit&#8221; and &#8220;crap&#8221; in e-mails.

NEWS REGULATION AND LEGISLATION SEP 01, 2015
Broker-turned-congressman French Hill brings adviser skills to Capitol Hill

Background makes Arkansas legislator, no fan of DOL fiduciary proposal, a go-to source on financial services issues.

SEC commissioners push for bond transparency in wake of Edward Jones settlement
NEWS PRACTICE MANAGEMENT AUG 28, 2015
SEC commissioners push for bond transparency in wake of Edward Jones settlement

Regulator says Finra and MSRB should issue rules 'requiring the disclosure of mark-ups and mark-downs.'

NEWS RETIREMENT PLANNING AUG 27, 2015
Bipartisan backing to halt DOL fiduciary rule nowhere in sight

An attempt to get Democratic buy-in on legislation that would force the DOL to hold off on finalizing its rule until the SEC acts died on the vine at a House hearing.

NEWS RETIREMENT PLANNING AUG 27, 2015
Congresswoman hopes hearing will build momentum against DOL fiduciary rule

Two House subcommittees will hold a joint hearing Thursday focusing in part on a bill written by Rep. Ann Wagner to thwart efforts to raise investment advice standards for retirement accounts.

Regulator seeks to enlist advisers in war on money laundering
NEWS PRACTICE MANAGEMENT AUG 27, 2015
Regulator seeks to enlist advisers in war on money laundering

Compliance could be costly, especially for small advisory firms.

Broker groups step up political spending early in election cycle
NEWS REGULATION AND LEGISLATION AUG 27, 2015
Broker groups step up political spending early in election cycle

Contributions from investment advisers, however, slow down.

BlackRock, Vanguard, Fidelity push back on DOL fiduciary
NEWS REGULATION AND LEGISLATION AUG 27, 2015
BlackRock, Vanguard, Fidelity push back on DOL fiduciary

BlackRock says rule favors index funds, Vanguard finds 'serious problems' and Fidelity wants proposal simplified.

That awkward moment when the Fed realizes it can't raise interest rates
NEWS EQUITIES AUG 26, 2015
That awkward moment when the Fed realizes it can't raise interest rates

<i>Breakfast with Benjamin</i>: William Dudley, president of the New York Fed, says delaying a rate hike until 2016 'will be awkward.'

Morgan Stanley hit with $20M whistleblower suit from ex-brokers
NEWS WIREHOUSES AUG 26, 2015
Morgan Stanley hit with $20M whistleblower suit from ex-brokers

Married brokers claim they were retaliated against after reporting alleged illegal sales tactics at the firm's midtown Manhattan office.

Stockbroker pleads guilty to stealing $6 million in Ponzi scheme
NEWS PRACTICE MANAGEMENT AUG 26, 2015
Stockbroker pleads guilty to stealing $6 million in Ponzi scheme

Claimed funds were invested conservatively but he was pursuing risky day-trading strategy.

NEWS PRACTICE MANAGEMENT AUG 26, 2015
Wells Fargo fined $1.5 million for AML failures

The wirehouse failed to comply with anti-money-laundering requirements by not properly vetting some 220,000 new client accounts over a nine-year period, Finra charged.

Citadel, big stock trading firm, seeks bigger influence in Washington
NEWS EQUITIES AUG 25, 2015
Citadel, big stock trading firm, seeks bigger influence in Washington

Privately held firm run by hedge fund manager Ken Griffin is speaking up to regulators and sometimes disagreeing with other market players.

Gloom overshadows Wall Street, but some economists still see a September rate hike
NEWS EQUITIES AUG 25, 2015
Gloom overshadows Wall Street, but some economists still see a September rate hike

<i>Breakfast with Benjamin</i>: Despite the mood on Wall Street getting downright gloomy, some economists still think the Fed will raise interest rates next month.

Finra sweep homes in on conflicts in broker pay
NEWS PRACTICE MANAGEMENT AUG 25, 2015
Finra sweep homes in on conflicts in broker pay

The regulator is examining a broad range of possible conflicts, from production incentives and mutual fund fees to recruiting bonuses.

NEWS PRACTICE MANAGEMENT AUG 23, 2015
As the Labor Department moves closer to a fiduciary standard, rhetoric reaches fever pitch

The department's recently completed four-day marathon of hearings featured the usual suspects trotting out the usual arguments &#8212; and self-funded studies &#8212; for or against the rule.

At least one timing signal is already saying it is time to sell stocks
NEWS EQUITIES AUG 22, 2015
At least one timing signal is already saying it is time to sell stocks

<i>Breakfast with Benjamin:</i> One troubling result of Thursday's big stock drop, in which the Dow industrials lost 358 points, or just over 2%, is that the market's oldest timing signal flashed a sell signal.

SEC warns brokerages to monitor risky products better
NEWS ALTERNATIVES AUG 20, 2015
SEC warns brokerages to monitor risky products better

Agency finds a significant number of inappropriate sales.